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Carmelo Peri
233 Swinnerton Street
Staten Island, New York 10307
Home 718-967-5555 – Cell 347-731-0217
Experience:
Goldman Sachs Commodities Operations Specialist April 2014 to August 2014
Consultant assigned from Michael Page to the GS Commodities Interest and Expense Area. Responsible for:
• Account opening on the Electronic Give Up System (EGUS). Ensure that that Give Up Agreements are
executed in accordance with firm policy as well as setting up customer trade rates.
• Daily reconciliations between regional offices
• Utilize GMI, IAM (Internal Account Management), GVO (foreign account management system)
Morgan Stanley Smith Barney Business Analyst April 2011 to September 2011
Consultant assigned from Park Hudson. Responsible for:
• Business analysis and development of User Acceptance Testing (UAT) plan for conversion of legacy MSSB
commodities systems to target platform Rolfe and Nolan.
• Subject matter expert aligned to technology development team responsible for commodities margining, price
changes, P&S adjustments, trade entry and customer statements.
BNP Paribas Futures Senior Operations Specialist October 2008 to June 2010
Consultant assigned from Michael Page International. Responsible for:
• Daily point balancing, position adjustments and reporting to NYMEX, NYBOT and COMEX Exchanges.
• Ensured that account trading limits were adhered to in accordance with firm policy. Prepared daily foreign
seg and seg reporting to the respective exchanges via the Ralph and Nolan system.
• Frequent interaction with brokers and front office in order to reconcile daily breaks timely. Also responsible
for daily global funds transfers and ensuring that the appropriate amount of TBILLS and TBONDS were on
hand for margin calls.
• Key player in the conversion from Rolfe & Nolan to new target platform, UBIX. Tested point balancing for
NYMEX, NYBOT and COMEX on UBIX. Skilled in Windows applications including Excel and Word
Citigroup Smith Barney Futures Senior Operations Specialist October 2007 to October
2008
Responsible for:
• Daily point balancing, position adjustments and reporting to NYMEX, NYBOT and COMEX. Frequent
interaction with brokers in order to reconcile daily breaks timely.
• Input cash journals and currency conversions onto in-house CPS system. Also responsible for daily global
funds transfers.
• Part of the CPS to GMI system conversion team targeting to implement GMI in June 2008.
Calyon Financial Futures Operations Specialist May 2007 to October 2007
Responsible for:
• Point-balancing NYMEX, NYBOT and COMEX. Daily interaction with brokers in order to timely reconcile
daily breaks.
• Input cash journals and currency conversions into GMI system.
Credit Suisse First Boston Listed Derivative Operations Control September 2005 to Dec.
2006
Consultant assigned from Strategic Workforce Group. Responsibilities include:
• Preparing the daily Seg and Secured reports as well as the Collateral reports for margin calls between Firm
and Clearing Houses, i.e. NYBOT, OCC, EUREX, IMM and NYMEX exchanges. Also prepared daily mid-
day variation calls from all exchanges.
• Downloaded daily reports from all Exchanges for use by department management and for balancing
purposes. Prepared daily management information reports that include daily trades and give-in trades for
firm, collateral in all exchanges and customer accounts as well as customer deficits.
Additional Experience: August 2013 thru April 2014 – Corporate Security at JPMorganChase
Skill Sets: Proficient in GMI, Rolfe and Nolan, UBIX, Front End Clearing (FEC) for NYMEX and
COMEX.
Proficient in Microsoft applications including Excel Micros, Macros and pivot tables.
Carmelo_Peri_Resume_09_16

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Carmelo_Peri_Resume_09_16

  • 1. Carmelo Peri 233 Swinnerton Street Staten Island, New York 10307 Home 718-967-5555 – Cell 347-731-0217 Experience: Goldman Sachs Commodities Operations Specialist April 2014 to August 2014 Consultant assigned from Michael Page to the GS Commodities Interest and Expense Area. Responsible for: • Account opening on the Electronic Give Up System (EGUS). Ensure that that Give Up Agreements are executed in accordance with firm policy as well as setting up customer trade rates. • Daily reconciliations between regional offices • Utilize GMI, IAM (Internal Account Management), GVO (foreign account management system) Morgan Stanley Smith Barney Business Analyst April 2011 to September 2011 Consultant assigned from Park Hudson. Responsible for: • Business analysis and development of User Acceptance Testing (UAT) plan for conversion of legacy MSSB commodities systems to target platform Rolfe and Nolan. • Subject matter expert aligned to technology development team responsible for commodities margining, price changes, P&S adjustments, trade entry and customer statements. BNP Paribas Futures Senior Operations Specialist October 2008 to June 2010 Consultant assigned from Michael Page International. Responsible for: • Daily point balancing, position adjustments and reporting to NYMEX, NYBOT and COMEX Exchanges. • Ensured that account trading limits were adhered to in accordance with firm policy. Prepared daily foreign seg and seg reporting to the respective exchanges via the Ralph and Nolan system. • Frequent interaction with brokers and front office in order to reconcile daily breaks timely. Also responsible for daily global funds transfers and ensuring that the appropriate amount of TBILLS and TBONDS were on hand for margin calls. • Key player in the conversion from Rolfe & Nolan to new target platform, UBIX. Tested point balancing for NYMEX, NYBOT and COMEX on UBIX. Skilled in Windows applications including Excel and Word Citigroup Smith Barney Futures Senior Operations Specialist October 2007 to October 2008 Responsible for: • Daily point balancing, position adjustments and reporting to NYMEX, NYBOT and COMEX. Frequent interaction with brokers in order to reconcile daily breaks timely. • Input cash journals and currency conversions onto in-house CPS system. Also responsible for daily global funds transfers. • Part of the CPS to GMI system conversion team targeting to implement GMI in June 2008. Calyon Financial Futures Operations Specialist May 2007 to October 2007 Responsible for: • Point-balancing NYMEX, NYBOT and COMEX. Daily interaction with brokers in order to timely reconcile daily breaks. • Input cash journals and currency conversions into GMI system. Credit Suisse First Boston Listed Derivative Operations Control September 2005 to Dec. 2006 Consultant assigned from Strategic Workforce Group. Responsibilities include: • Preparing the daily Seg and Secured reports as well as the Collateral reports for margin calls between Firm and Clearing Houses, i.e. NYBOT, OCC, EUREX, IMM and NYMEX exchanges. Also prepared daily mid- day variation calls from all exchanges. • Downloaded daily reports from all Exchanges for use by department management and for balancing purposes. Prepared daily management information reports that include daily trades and give-in trades for firm, collateral in all exchanges and customer accounts as well as customer deficits. Additional Experience: August 2013 thru April 2014 – Corporate Security at JPMorganChase Skill Sets: Proficient in GMI, Rolfe and Nolan, UBIX, Front End Clearing (FEC) for NYMEX and COMEX. Proficient in Microsoft applications including Excel Micros, Macros and pivot tables.