Languages

Spanish
1
hours

Total Hours Logged

17
years

Years of Experience

11/14

Member Since


Experience

 
Barclays - Group Cost Management Accounting
Group HR Cost Management - Assistant Vice President
06/2015 - Present
• Own Monthly Global HR Executive Pack, pulling together key messages to communicate performance and presentation of results to Senior Management.
• Support function leads and business managers in the production and completion of cost reporting, focusing on variances to forecast, STP and FTE positions.
• Lead, Manage and coordinate the medium-term planning process, the short-term and intra-year planning processes for Global HR and Sub Functions.

Credit Suisse - Investment Bank Accounting
CRES Direct Expense Management – Assistant Vice President
09/2013 - 05/2015
• Responsible for providing financial management support to the Credit Suisse Corporate Real Estate and Services Department (CRES). Key activities included budget preparation, management reporting and providing high quality financial analysis for this global function, interacting directly and regularly with the CRES senior leadership team.
• Prepared Monthly Forecast for the CRES Senior Leadership Team, working with the CRES Global Service Businesses to understand variances to actuals.

Credit Suisse - Investment Bank Finance
IB Finance Capital Management – Assistant Vice President
08/2010 - 09/2013
• Organized and led monthly liquidity review board within the investment bank; chose topics to be discussed and solicited feedback, input, and agreement from senior management involved.
• Participated in Credit Suisse’s Prestigious Global Citizens Program in 2012 and 2011; traveled to China to present on Asset and Liability Management with PlaNet Finance; traveled to Bangladesh to teach a weeklong seminar on Report Writing with Room to Read.

Credit Suisse - Alternative Investments Finance
Private Equity Fund of Funds
01/2008 - 08/2010
• Reviewed quarterly and annual financial statements, inclusive of additional explanatory footnotes for all funds. Regularly interacted with external auditors; addressed and resolved audit inquiries with respect to testing and year-end audits.
• Performed quarterly valuation analysis to ensure underlying deals are reported at fair value; built relationships with Private Equity Funds to ensure accuracy and timeliness of financial information provided.