Mike advises banking and capital markets clients on strategic initiatives related to topics including IBOR transition, market risk management, counterparty credit risk management, stress testing, resiliency, independent price verification and capital management. He also leads EY Fundamental review of the trading book (FRTB) and overall market risk capital services in the US. Mike has significant front-office capital markets experience, having worked as a money market, interest rate derivatives and foreign exchange dealer prior to joining the firm.
Mike holds an MBA from Columbia University, and a BS from the State University of New York at Binghamton.
How Mike is building a better working world
“Our clients rely on us to provide thought leadership and innovative services to help them solve problems, transform and meet their goals. I help our EY teams achieve these expectations by having a clear understanding of client objectives and assembling deeply skilled, cross-functional teams with a relentless focus on client service, leaving our clients with a sense of “mission accomplished” and deep trust in our capabilities to build a better working world.“