January 2015 to Present
Greater New York City Area
2012 to April 2014
Head of Credit Risk - Investments Risk
2010 to 2012
Niamor Capital Management LLC
Chief Investment Officer
2008 to 2010
Deutsche Bank AG
2001 to 2008
1994 to 2001
Moody's Investors Service
Senior Analyst- Financial Institutions Group
1992 to 1994
1988 to 1992
Assistant Vice President
1985 to 1988
Greater Boston Area
What company does Patrick R. Romain work for?
Patrick R. Romain works for Niamor Financial
What is Patrick R. Romain's role at Niamor Financial?
Patrick R. Romain is Principal
What industry does Patrick R. Romain work in?
Patrick R. Romain works in the Financial Services industry.
Financial Services Professional with background in commercial banking, investment banking and asset management. Established expertise in the oversight of credit risk management. Proven ability in identifying key strategic and operational factors linked to sector and company success and performance. Hands on experience with matrix organizations, cross-cultural and global business practices, and with leading collaborative organizational change. Proven ability to develop and mentor talent. Areas of expertise include: Risk Management, Credit Analysis, Credit Policy, Counterparty Risk, Enterprise Risk, Securitization, Economic Capital, Asset Management, Risk Reporting & Monitoring, Stress Testing, Corporate issuers, Financial institutions, Probability of Default Models. [email protected] @ A Risk Advisory Firm Working With Financial Institutions niamorfinancial.com From January 2015 to Present (1 year) Greater New York City AreaManaging Director @ Credit Risk Management - Head of Wholesale Corporate Credit Americas. Responsible for a team of 50 credit risk officers, including 7 direct reports (Sector Team Heads - Commercial Real Estate; Consumer/Retail/Leisure & Hospitality; Healthcare; Industrials; Municipals; Natural Resources; Technology/Media/Telecommunication; Utilities/Infrastructure; Wealth & Investment Management. From 2012 to April 2014 (2 years) Head of Credit Risk - Investments Risk @ Oversaw credit assets of $70 billion, including exposures to financials, industrials, sovereigns, CMBS, ABS, RMBS and commercial real estate. From 2010 to 2012 (2 years) Chief Investment Officer @ Launched Long/Short Equity Hedge Fund Manager, focusing on financial services. From 2008 to 2010 (2 years) Managing Director @ Global Head of Securitization Credit - Responsible for the Securitized Products Group, Global CDO/CLO Group, Commercial Real Estate/CMBS, and the management of a global team of loan officers and analysts. Reviewed, approved and monitored securitization related financings (e.g. auto loans, credit cards, commercial real estate, sub-prime/Alt-A/Prime residential mortgages, leveraged loans). From 2001 to 2008 (7 years) Principal @ Head of Banking/Finance Counterparty Credit Risk - Managed a team of loan officers and credit analysts, covering North America and Latin America Banks, U.S. consumer and commercial finance companies and mortgage banks. Supported the Securitized Products Group (SPG) trading desk and bankers. Responsible for the approval of counterparty derivatives and financing transactions. From 1994 to 2001 (7 years) Senior Analyst- Financial Institutions Group @ Responsible for the coverage of the Securities Industry, Finance Companies, Mortgage Banks, and Equity REITS. Assigned corporate debt ratings and monitored the performance of rated issuers and related sectors. From 1992 to 1994 (2 years) Vice President @ Responsible for marketing credit products to U.S. bulge-bracket broker dealers. From 1988 to 1992 (4 years) Assistant Vice President @ Relationship Manager, Commercial Lending Division From 1985 to 1988 (3 years) Greater Boston AreaB.A., Government @ Harvard UniversityMIA, International Relations and Affairs @ Columbia University - School of International and Public AffairsColumbia Senior Executive Program - Executive Education @ Columbia University - Columbia Business School Patrick R. Romain is skilled in: Risk Management, Investments, Credit, Financial Analysis, Financial Risk, Credit Risk, Investment Management, Asset Management, Investment Banking, Commercial Banking, Capital Markets, Fixed Income, Derivatives, ABS, Structured Finance
Extraversion (E), Sensing (S), Feeling (F), Judging (J)
3 year(s), 4 month(s)
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