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Teresa Renton 100 North Lake Cunningham Avenue Jacksonville, Florida 32259 Home: 904-287-7597 Email: tr15e4738@westpost.


Over 17 years financial services experience in which I have been and remain to b e dedicated in providing consistent and high quality customer service. Energetic professional recognized as a quick learner with exceptional people skills. Al ways committed to organizational excellence in all tasks set forth to complete. Convey a professional image of honesty and concern for our clients wants and ne eds. Good conflict-resolution skills. I work well under pressure and deadline s. Computer skills include Microsoft Office Suite (Outlook, Word, Excel). I am an excellent communicator seeking a challenging position, utilizing current ski lls and abilities, with the opportunity for professional growth. Professional Experience: Deutsche Bank, Jacksonville, FL 2/2009 5/2011 Team Manager Equity Derivative Settlements (2/2009 5/2011) Managed teams of up to 7 in Equity Derivatives Cash Settlements. Managed day to day business objectives and provided clear guidance to improving department targets. Identified and implemented process re-engineering for maximum efficiency. Consistently ensured that all day one breaks were investigated and coded correc tly within DBs reconciliation system Smart Stream. Strived to maintain 100% compliance on control checklists and approving cash fl ows. Held weekly control meetings with staff to review all outstanding breaks and is sue. Merrill Lynch, Jacksonville, FL 3/2004 1/2009 Assistant Vice President Operational Risk Management Services (1/2005 1/2 009) Supervised a staff of six in cash and security reconciliations. Responsible for the monthly sign off of 240 bank accounts, to ensure the integr ity of the firm. Coordinated yearly Sarbanes Oxley /SAS70 and internal corporate audits. Processed weekly exposure reporting for Senior Management. Processed month end analysis reports for Regulatory and Finance Dept. Coordinated all month end Oracle entries to ensure integrity of firm balances. Wire Transfer Specialist (3/2004 12/2004) Processed incoming and outgoing wires for various currencies in support of Merr ill Lynch Futures based in Chicago. Maintained end of day balancing and funding for various bank accounts in the Fu tures market. Resolved open items from Reconciliation Report received from Reconciliation Dep artment. Processed International Foreign Currency conversion wires for Global Private Cl ients. Processed tracers and investigations for U.S. and foreign currency wires transf ers. Societe Generale Bank, New York, NY 9/2002 11/2003 Foreign Exchange Operations/Analyst Managed new Continuous Link Services foreign exchange trading system. Executed end of day overnight loans with various counterparties for funding.

Morgan Stanley, New York, NY 1/2000 1/2002 Foreign Exchange Infrastructure/Team Leader Coordinated investigations and compensation regarding FX Fails. Regulatory reporting for currency and US Dollar fails for 15c3-3. Trained a staff of 5 in investigations, journal entry processing, and reconcili ations. Month-end reporting to management with outstanding claims or issues. Leafstone Personnel Agency, New York, NY 9/1998 12/1999 Consultant Assigned to Morgan Stanley Dean Witter, NY. Assisted with conversion of 11-legacy currencies to EUR. Input new payment delivery instructions for EUR with their counterparts. Trained staff in all aspects of Foreign Exchange back office support. Morgan Stanley and Company Inc., New York, NY 11/1988 3/1995 Foreign Exchange Operations/Associate (11/1993 3/1995) Trained staff of four in foreign exchange settlement processes. Established new clearing accounts for currency settlements in Mexico, Philippin es, and Greece. Cash Management Analyst (11/1990 11/1993) Settled transactions in US/Canadian dollars and Japanese Yen in support of Fixe d Income products. Coordinated daily currency placement and firm-wide funding of accounts. Researched and resolved compensation claims due to late payments or receipts. Foreign Exchange Operations/Clerk (10/1988 11/1990) Settled foreign exchange trades with counterparts as well as balanced cash flow projections for each Nostro agent. Reconciled 35 Nostro accounts against bank statements. Researched outstanding items and late payments/receipts. Analyzed compensation claims and balanced accounts receivable ledgers.

Education A.A.S Degree Business Major Queensborough Community College, Bayside, New York 1986 High School Diploma William Cullen Bryant High School, Long Island City, New York 1982