董事介绍
注:董事持股数取自最新公司公告
| 姓名 | 性别 | 职位 | 年龄 | 薪酬 | 持股数(万股) | 截止日期 |
|---|---|---|---|---|---|---|
| Walter C. Keenan | 男 | Director, President and Chief Executive Officer | 50 | 67.50万美元 | 未持股 | 2017-12-01 |
| Mark Moffat | 男 | Director and Chief Investment Officer | 51 | 2.78万美元 | 未持股 | 2017-12-01 |
| Colin W. Devine | 男 | Director | 57 | 未披露 | 未持股 | 2017-12-01 |
| Scot H. Fischer | 男 | Director | 57 | 未披露 | 未持股 | 2017-12-01 |
| David A. Whitefield | 男 | Director | 70 | 4.55万美元 | 未持股 | 2017-12-01 |
| Gary D. Witherspoon | 男 | Director | 62 | 3.00万美元 | 未持股 | 2017-12-01 |
高管介绍
注:高管持股数取自最新公司公告
| 姓名 | 性别 | 职位 | 年龄 | 薪酬 | 持股数(万股) | 截止日期 |
|---|---|---|---|---|---|---|
| Walter C. Keenan | 男 | Director, President and Chief Executive Officer | 50 | 67.50万美元 | 未持股 | 2017-12-01 |
| Mark Moffat | 男 | Director and Chief Investment Officer | 51 | 2.78万美元 | 未持股 | 2017-12-01 |
| Leslie C. Boughner | 男 | Chairman, Business Insurance | 65 | 32.80万美元 | 未持股 | 2017-12-01 |
| Eduardo Colon | 男 | Chief Banking Officer | 60 | 未披露 | 未持股 | 2017-12-01 |
| Stuart N. Jessop | 男 | Chief Underwriting Officer | 50 | 未披露 | 未持股 | 2017-12-01 |
| Tamara K. Kravec | 女 | Chief Financial Officer | 47 | 未披露 | 未持股 | 2017-12-01 |
| Matthew I. Lawson | 男 | Chief Accounting Officer | 44 | 26.30万美元 | 未持股 | 2017-12-01 |
| Eric A. Miller | 男 | Chief Information Officer | 65 | 26.60万美元 | 未持股 | 2017-12-01 |
董事简历
中英对照 |  中文 |  英文- Walter C. Keenan
-
Walter C. Keenan,2015年4月17日起,担任本公司的独立董事。作为顾问、投资人、执行经理,他在财务服务行业有着超过25年的经验。他从2013年7月起,担任Advantage Insurance Holdings Ltd的首席执行官,这是一个专业保险集团,服务于全球高净值个人和企业所有者的保险需求。2012年7月至2013年7月,他是Advantage Insurance的顾问。2013年10月起,他担任Republic Companies的董事、审计委员会成员,这是区域性的财产意外保险公司。加入Advantage Insurance之前,2011年3月至10月,他担任Medicus Insurance Holdings的执行董事长,这是医师职业责任保险公司;2006年7月至2011年3月,担任其董事长。成为保险行业的主管之前,2007-2011,他担任JMP Capital的私募股权总裁,这是JMP Group LLC (NYSE: JMP)的重要投资部门;2005-2007,担任The Cypress Group的负责人。他也曾在JMP、The Cypress 的两个按揭REIT公司从事战略投资工作。职业生涯之初,他任职于Morgan Stanley,于1989-2003年间任职于该公司。他以优异成绩在Southern Methodist University获得学士学位。
Walter C. Keenan has been an independent director of our board of directors since April 17 2015. Mr. Keenan is chairman of the Compensation Committee and is a member of the Audit and Nominating and Corporate Governance Committees. Mr. Keenan has over 25 years of experience in the financial services industry as an advisor, investor and executive manager.Since July 2013 he has served as Chief Executive Officer of Advantage Insurance Inc. “Advantage Insurance”, a specialty insurance group serving the insurance needs of high net worth individuals and business owners worldwide. Mr. Keenan was a consultant to Advantage Insurance from July 2012 through July 2013. From August 2014 through the completion of its sale to AmTrust Financial Services, Inc. in April 2016 Mr. Keenan served as an independent director and audit committee chair of Republic Companies, Inc., a regional property and casualty insurance company. Prior to joining Advantage Insurance, from March 2011 to October 2011 Mr. Keenan served as Executive Chairman of Medicus Insurance Holdings, Inc., a provider of professional liability insurance to physicians, and was Chairman from July 2006 to March 2011. Before becoming an insurance industry executive, Mr. Keenan worked in private equity as President of JMP Capital, the principal investments group of JMP Group LLC from 2007 to 2011 and as a Principal of The Cypress Group from 2005 to 2007. Mr. Keenan’s work for JMP and Cypress included strategic investments in two mortgage REIT companies. Mr. Keenan began his career at Morgan Stanley, where he worked in investment banking from 1989 to 2003. Mr. Keenan received a Bachelor of Arts degree with Honors from Southern Methodist University. - Walter C. Keenan,2015年4月17日起,担任本公司的独立董事。作为顾问、投资人、执行经理,他在财务服务行业有着超过25年的经验。他从2013年7月起,担任Advantage Insurance Holdings Ltd的首席执行官,这是一个专业保险集团,服务于全球高净值个人和企业所有者的保险需求。2012年7月至2013年7月,他是Advantage Insurance的顾问。2013年10月起,他担任Republic Companies的董事、审计委员会成员,这是区域性的财产意外保险公司。加入Advantage Insurance之前,2011年3月至10月,他担任Medicus Insurance Holdings的执行董事长,这是医师职业责任保险公司;2006年7月至2011年3月,担任其董事长。成为保险行业的主管之前,2007-2011,他担任JMP Capital的私募股权总裁,这是JMP Group LLC (NYSE: JMP)的重要投资部门;2005-2007,担任The Cypress Group的负责人。他也曾在JMP、The Cypress 的两个按揭REIT公司从事战略投资工作。职业生涯之初,他任职于Morgan Stanley,于1989-2003年间任职于该公司。他以优异成绩在Southern Methodist University获得学士学位。
- Walter C. Keenan has been an independent director of our board of directors since April 17 2015. Mr. Keenan is chairman of the Compensation Committee and is a member of the Audit and Nominating and Corporate Governance Committees. Mr. Keenan has over 25 years of experience in the financial services industry as an advisor, investor and executive manager.Since July 2013 he has served as Chief Executive Officer of Advantage Insurance Inc. “Advantage Insurance”, a specialty insurance group serving the insurance needs of high net worth individuals and business owners worldwide. Mr. Keenan was a consultant to Advantage Insurance from July 2012 through July 2013. From August 2014 through the completion of its sale to AmTrust Financial Services, Inc. in April 2016 Mr. Keenan served as an independent director and audit committee chair of Republic Companies, Inc., a regional property and casualty insurance company. Prior to joining Advantage Insurance, from March 2011 to October 2011 Mr. Keenan served as Executive Chairman of Medicus Insurance Holdings, Inc., a provider of professional liability insurance to physicians, and was Chairman from July 2006 to March 2011. Before becoming an insurance industry executive, Mr. Keenan worked in private equity as President of JMP Capital, the principal investments group of JMP Group LLC from 2007 to 2011 and as a Principal of The Cypress Group from 2005 to 2007. Mr. Keenan’s work for JMP and Cypress included strategic investments in two mortgage REIT companies. Mr. Keenan began his career at Morgan Stanley, where he worked in investment banking from 1989 to 2003. Mr. Keenan received a Bachelor of Arts degree with Honors from Southern Methodist University.
- Mark Moffat
-
暂无中文简介
Mark Moffat is Chairman of our Investment Committee and has agreed to become our Chief Investment Officer upon completion of this offering. Mr. Moffat has been a private investor since April 2015. Until April 2015 Mr. Moffat was a Senior Managing Director of GSO where he was Co-Head of the Customized Credit Strategies division’s European activities and was the portfolio manager responsible for structured credit. Mr. Moffat joined GSO in January 2012 following the acquisition by GSO of Harbourmaster Capital Management Limited where he was Co-Head. Prior to joining Harbourmaster in 2007 Mr. Moffat was Head of European Debt and Equity Capital Markets and the European CLO business of Bear Stearns. While at Bear Stearns, Mr. Moffat was responsible for the origination, structuring and execution of CLOs in Europe over a seven year period. Prior to Bear Stearns, Mr. Moffat held similar roles at ABN AMRO where he was Global Head of CLOs and at Greenwich NatWest, the fixed income division of National Westminster Bank, where he was a Director in the principal finance team. Mr. Moffat has over 18 years of experience structuring, managing and investing in CLOs and holds a Bachelor of Arts with Honors degree from Nottingham University. -
暂无中文简介
- Mark Moffat is Chairman of our Investment Committee and has agreed to become our Chief Investment Officer upon completion of this offering. Mr. Moffat has been a private investor since April 2015. Until April 2015 Mr. Moffat was a Senior Managing Director of GSO where he was Co-Head of the Customized Credit Strategies division’s European activities and was the portfolio manager responsible for structured credit. Mr. Moffat joined GSO in January 2012 following the acquisition by GSO of Harbourmaster Capital Management Limited where he was Co-Head. Prior to joining Harbourmaster in 2007 Mr. Moffat was Head of European Debt and Equity Capital Markets and the European CLO business of Bear Stearns. While at Bear Stearns, Mr. Moffat was responsible for the origination, structuring and execution of CLOs in Europe over a seven year period. Prior to Bear Stearns, Mr. Moffat held similar roles at ABN AMRO where he was Global Head of CLOs and at Greenwich NatWest, the fixed income division of National Westminster Bank, where he was a Director in the principal finance team. Mr. Moffat has over 18 years of experience structuring, managing and investing in CLOs and holds a Bachelor of Arts with Honors degree from Nottingham University.
- Colin W. Devine
-
暂无中文简介
Colin W. Devine has been a strategic advisor to insurance and investment management companies from 2016 to the present and from 2012 to 2015. From 2015 to 2016 Mr. Devine was a Managing Director of Jefferies LLC, where he was the lead research analyst for the life insurance sector. Prior to Jefferies, Mr. Devine headed Citigroup’s North American life insurance research from 1997 to 2012. Prior to working for Citigroup, Mr. Devine was a Director in Standard & Poor’s credit ratings group, focused on the insurance sector. Over the course of his research career, Mr. Devine was ranked on Institutional Investor magazine’s All-America Research Team for 14 consecutive years and held the #1 ranking for six consecutive years. Mr. Devine holds Chartered Financial Analyst, Chartered Professional Accountant and Certified Financial Planner credentials. He earned an MBA degree from the Schulich School of Business, York University, Toronto and a Bachelor of Science degree from the University of Guelph. -
暂无中文简介
- Colin W. Devine has been a strategic advisor to insurance and investment management companies from 2016 to the present and from 2012 to 2015. From 2015 to 2016 Mr. Devine was a Managing Director of Jefferies LLC, where he was the lead research analyst for the life insurance sector. Prior to Jefferies, Mr. Devine headed Citigroup’s North American life insurance research from 1997 to 2012. Prior to working for Citigroup, Mr. Devine was a Director in Standard & Poor’s credit ratings group, focused on the insurance sector. Over the course of his research career, Mr. Devine was ranked on Institutional Investor magazine’s All-America Research Team for 14 consecutive years and held the #1 ranking for six consecutive years. Mr. Devine holds Chartered Financial Analyst, Chartered Professional Accountant and Certified Financial Planner credentials. He earned an MBA degree from the Schulich School of Business, York University, Toronto and a Bachelor of Science degree from the University of Guelph.
- Scot H. Fischer
-
暂无中文简介
Scot H. Fischer has been a private investor and advisor to family offices since 2016. He most recently served as Managing Partner for Amzak Capital Management LLC from 2007 to 2016. Prior to working with Amzak, Mr. Fischer spent most of his professional career as an investment banker with major financial institutions including ABN AMRO from 2003 to 2006 as head of corporate finance for the Americas; Citigroup from 1995 to 2001 covering Latin America; and Chase Manhattan from 1982 to 1992 working in Puerto Rico and New York covering Latin America and Spain. Mr. Fischer’s experience includes mergers and acquisitions, private equity, debt and equity capital markets, syndicated lending, project finance and securitizations. Mr. Fischer currently serves on the board and audit committee of Ilumno Holdings, Ltd., a technology-enabled service provider to higher education institutions across Latin America, and is an advisory board member of Atlantico Capital Partners, LLC. He has previously served as a director of privately owned companies in the telecom, paper and packaging, manufacturing and retail sectors. Mr. Fischer holds a Bachelor’s degree in Economics from Bucknell University. -
暂无中文简介
- Scot H. Fischer has been a private investor and advisor to family offices since 2016. He most recently served as Managing Partner for Amzak Capital Management LLC from 2007 to 2016. Prior to working with Amzak, Mr. Fischer spent most of his professional career as an investment banker with major financial institutions including ABN AMRO from 2003 to 2006 as head of corporate finance for the Americas; Citigroup from 1995 to 2001 covering Latin America; and Chase Manhattan from 1982 to 1992 working in Puerto Rico and New York covering Latin America and Spain. Mr. Fischer’s experience includes mergers and acquisitions, private equity, debt and equity capital markets, syndicated lending, project finance and securitizations. Mr. Fischer currently serves on the board and audit committee of Ilumno Holdings, Ltd., a technology-enabled service provider to higher education institutions across Latin America, and is an advisory board member of Atlantico Capital Partners, LLC. He has previously served as a director of privately owned companies in the telecom, paper and packaging, manufacturing and retail sectors. Mr. Fischer holds a Bachelor’s degree in Economics from Bucknell University.
- David A. Whitefield
-
暂无中文简介
David A. Whitefield has been a consultant since 2005 to insurance and private trust companies in the Cayman Islands and other locations and serves as a director of Advantage’s Cayman Islands subsidiaries. Mr. Whitefield has extensive experience in the administration of trust and insurance companies, having begun his career in 1962 with the Royal Bank of Scotland. He subsequently joined the Bank of Nova Scotia Trust Company Cayman Limited in 1972 and became Managing Director in 1981. In 1984 Mr. Whitefield established Samuel Montagu & Company (Cayman) Limited which provided administration services for trusts, investment holding companies and insurance companies and which became part of the HSBC Group in 1992. Mr. Whitefield retired from HSBC in 2005. Mr. Whitefield currently serves as director for Controlled Risk Insurance Company, Ltd. and its subsidiary, Crico International, both owned by and serving the Harvard medical community. -
暂无中文简介
- David A. Whitefield has been a consultant since 2005 to insurance and private trust companies in the Cayman Islands and other locations and serves as a director of Advantage’s Cayman Islands subsidiaries. Mr. Whitefield has extensive experience in the administration of trust and insurance companies, having begun his career in 1962 with the Royal Bank of Scotland. He subsequently joined the Bank of Nova Scotia Trust Company Cayman Limited in 1972 and became Managing Director in 1981. In 1984 Mr. Whitefield established Samuel Montagu & Company (Cayman) Limited which provided administration services for trusts, investment holding companies and insurance companies and which became part of the HSBC Group in 1992. Mr. Whitefield retired from HSBC in 2005. Mr. Whitefield currently serves as director for Controlled Risk Insurance Company, Ltd. and its subsidiary, Crico International, both owned by and serving the Harvard medical community.
- Gary D. Witherspoon
-
暂无中文简介
Gary D. Witherspoon is President of Copper Beech Capital LLC, a private investment firm in Dallas, Texas. Prior to joining Copper Beech in 2005 Mr. Witherspoon was the managing partner of Witherspoon, Yeldell & Wilson, P.C., Certified Public Accountants, from 1994 to 2005 and co-founded the firm in 1984. He is a past chairman of the board of the Ennis Regional Medical Center. From 2006 to 2011 Mr. Witherspoon was a director and chaired the audit committee of Medicus Insurance Holdings, Inc. He is a past director of Republic Group, Inc., a privately held property and casualty insurer. He currently serves on the boards of First State Bank and Platform Holdings Inc. He is a member of the American Institute of Certified Public Accountants and the Texas Society of Certified Public Accountants. Mr. Witherspoon received a Bachelor of Arts degree in Accounting from Texas A&M University. -
暂无中文简介
- Gary D. Witherspoon is President of Copper Beech Capital LLC, a private investment firm in Dallas, Texas. Prior to joining Copper Beech in 2005 Mr. Witherspoon was the managing partner of Witherspoon, Yeldell & Wilson, P.C., Certified Public Accountants, from 1994 to 2005 and co-founded the firm in 1984. He is a past chairman of the board of the Ennis Regional Medical Center. From 2006 to 2011 Mr. Witherspoon was a director and chaired the audit committee of Medicus Insurance Holdings, Inc. He is a past director of Republic Group, Inc., a privately held property and casualty insurer. He currently serves on the boards of First State Bank and Platform Holdings Inc. He is a member of the American Institute of Certified Public Accountants and the Texas Society of Certified Public Accountants. Mr. Witherspoon received a Bachelor of Arts degree in Accounting from Texas A&M University.
高管简历
中英对照 |  中文 |  英文- Walter C. Keenan
Walter C. Keenan,2015年4月17日起,担任本公司的独立董事。作为顾问、投资人、执行经理,他在财务服务行业有着超过25年的经验。他从2013年7月起,担任Advantage Insurance Holdings Ltd的首席执行官,这是一个专业保险集团,服务于全球高净值个人和企业所有者的保险需求。2012年7月至2013年7月,他是Advantage Insurance的顾问。2013年10月起,他担任Republic Companies的董事、审计委员会成员,这是区域性的财产意外保险公司。加入Advantage Insurance之前,2011年3月至10月,他担任Medicus Insurance Holdings的执行董事长,这是医师职业责任保险公司;2006年7月至2011年3月,担任其董事长。成为保险行业的主管之前,2007-2011,他担任JMP Capital的私募股权总裁,这是JMP Group LLC (NYSE: JMP)的重要投资部门;2005-2007,担任The Cypress Group的负责人。他也曾在JMP、The Cypress 的两个按揭REIT公司从事战略投资工作。职业生涯之初,他任职于Morgan Stanley,于1989-2003年间任职于该公司。他以优异成绩在Southern Methodist University获得学士学位。
Walter C. Keenan has been an independent director of our board of directors since April 17 2015. Mr. Keenan is chairman of the Compensation Committee and is a member of the Audit and Nominating and Corporate Governance Committees. Mr. Keenan has over 25 years of experience in the financial services industry as an advisor, investor and executive manager.Since July 2013 he has served as Chief Executive Officer of Advantage Insurance Inc. “Advantage Insurance”, a specialty insurance group serving the insurance needs of high net worth individuals and business owners worldwide. Mr. Keenan was a consultant to Advantage Insurance from July 2012 through July 2013. From August 2014 through the completion of its sale to AmTrust Financial Services, Inc. in April 2016 Mr. Keenan served as an independent director and audit committee chair of Republic Companies, Inc., a regional property and casualty insurance company. Prior to joining Advantage Insurance, from March 2011 to October 2011 Mr. Keenan served as Executive Chairman of Medicus Insurance Holdings, Inc., a provider of professional liability insurance to physicians, and was Chairman from July 2006 to March 2011. Before becoming an insurance industry executive, Mr. Keenan worked in private equity as President of JMP Capital, the principal investments group of JMP Group LLC from 2007 to 2011 and as a Principal of The Cypress Group from 2005 to 2007. Mr. Keenan’s work for JMP and Cypress included strategic investments in two mortgage REIT companies. Mr. Keenan began his career at Morgan Stanley, where he worked in investment banking from 1989 to 2003. Mr. Keenan received a Bachelor of Arts degree with Honors from Southern Methodist University.- Walter C. Keenan,2015年4月17日起,担任本公司的独立董事。作为顾问、投资人、执行经理,他在财务服务行业有着超过25年的经验。他从2013年7月起,担任Advantage Insurance Holdings Ltd的首席执行官,这是一个专业保险集团,服务于全球高净值个人和企业所有者的保险需求。2012年7月至2013年7月,他是Advantage Insurance的顾问。2013年10月起,他担任Republic Companies的董事、审计委员会成员,这是区域性的财产意外保险公司。加入Advantage Insurance之前,2011年3月至10月,他担任Medicus Insurance Holdings的执行董事长,这是医师职业责任保险公司;2006年7月至2011年3月,担任其董事长。成为保险行业的主管之前,2007-2011,他担任JMP Capital的私募股权总裁,这是JMP Group LLC (NYSE: JMP)的重要投资部门;2005-2007,担任The Cypress Group的负责人。他也曾在JMP、The Cypress 的两个按揭REIT公司从事战略投资工作。职业生涯之初,他任职于Morgan Stanley,于1989-2003年间任职于该公司。他以优异成绩在Southern Methodist University获得学士学位。
- Walter C. Keenan has been an independent director of our board of directors since April 17 2015. Mr. Keenan is chairman of the Compensation Committee and is a member of the Audit and Nominating and Corporate Governance Committees. Mr. Keenan has over 25 years of experience in the financial services industry as an advisor, investor and executive manager.Since July 2013 he has served as Chief Executive Officer of Advantage Insurance Inc. “Advantage Insurance”, a specialty insurance group serving the insurance needs of high net worth individuals and business owners worldwide. Mr. Keenan was a consultant to Advantage Insurance from July 2012 through July 2013. From August 2014 through the completion of its sale to AmTrust Financial Services, Inc. in April 2016 Mr. Keenan served as an independent director and audit committee chair of Republic Companies, Inc., a regional property and casualty insurance company. Prior to joining Advantage Insurance, from March 2011 to October 2011 Mr. Keenan served as Executive Chairman of Medicus Insurance Holdings, Inc., a provider of professional liability insurance to physicians, and was Chairman from July 2006 to March 2011. Before becoming an insurance industry executive, Mr. Keenan worked in private equity as President of JMP Capital, the principal investments group of JMP Group LLC from 2007 to 2011 and as a Principal of The Cypress Group from 2005 to 2007. Mr. Keenan’s work for JMP and Cypress included strategic investments in two mortgage REIT companies. Mr. Keenan began his career at Morgan Stanley, where he worked in investment banking from 1989 to 2003. Mr. Keenan received a Bachelor of Arts degree with Honors from Southern Methodist University.
- Mark Moffat
- 暂无中文简介
Mark Moffat is Chairman of our Investment Committee and has agreed to become our Chief Investment Officer upon completion of this offering. Mr. Moffat has been a private investor since April 2015. Until April 2015 Mr. Moffat was a Senior Managing Director of GSO where he was Co-Head of the Customized Credit Strategies division’s European activities and was the portfolio manager responsible for structured credit. Mr. Moffat joined GSO in January 2012 following the acquisition by GSO of Harbourmaster Capital Management Limited where he was Co-Head. Prior to joining Harbourmaster in 2007 Mr. Moffat was Head of European Debt and Equity Capital Markets and the European CLO business of Bear Stearns. While at Bear Stearns, Mr. Moffat was responsible for the origination, structuring and execution of CLOs in Europe over a seven year period. Prior to Bear Stearns, Mr. Moffat held similar roles at ABN AMRO where he was Global Head of CLOs and at Greenwich NatWest, the fixed income division of National Westminster Bank, where he was a Director in the principal finance team. Mr. Moffat has over 18 years of experience structuring, managing and investing in CLOs and holds a Bachelor of Arts with Honors degree from Nottingham University. - 暂无中文简介
- Mark Moffat is Chairman of our Investment Committee and has agreed to become our Chief Investment Officer upon completion of this offering. Mr. Moffat has been a private investor since April 2015. Until April 2015 Mr. Moffat was a Senior Managing Director of GSO where he was Co-Head of the Customized Credit Strategies division’s European activities and was the portfolio manager responsible for structured credit. Mr. Moffat joined GSO in January 2012 following the acquisition by GSO of Harbourmaster Capital Management Limited where he was Co-Head. Prior to joining Harbourmaster in 2007 Mr. Moffat was Head of European Debt and Equity Capital Markets and the European CLO business of Bear Stearns. While at Bear Stearns, Mr. Moffat was responsible for the origination, structuring and execution of CLOs in Europe over a seven year period. Prior to Bear Stearns, Mr. Moffat held similar roles at ABN AMRO where he was Global Head of CLOs and at Greenwich NatWest, the fixed income division of National Westminster Bank, where he was a Director in the principal finance team. Mr. Moffat has over 18 years of experience structuring, managing and investing in CLOs and holds a Bachelor of Arts with Honors degree from Nottingham University.
- Leslie C. Boughner
- 暂无中文简介
Leslie C. Boughner is Chairman of our Business Insurance division. Mr. Boughner joined Advantage in 2015 and is responsible for developing Advantage’s captive insurance and related businesses globally, including its direct underwriting activity at Lloyd’s. In his most recent role prior to joining Advantage, he was Managing Director of Willis’ Global Captive Practice from 2009 to 2015. At Willis, Mr. Boughner was responsible for overseeing self-insurance programs for clients in the Americas from offices in Barbados, Bermuda, the Cayman Islands, Hawaii and Vermont. Mr. Boughner entered the insurance business in 1977 and held executive positions with AIG, CNA, FM Global, and Zurich prior to his work for Willis. He is past Chairman of the Captive Insurance Companies Association and the Self Insurance Institute of America. Mr. Boughner received an MBA from York University, Toronto, Canada and holds a Bachelor of Mechanical Engineering degree from Carleton University in Ottawa, Canada. - 暂无中文简介
- Leslie C. Boughner is Chairman of our Business Insurance division. Mr. Boughner joined Advantage in 2015 and is responsible for developing Advantage’s captive insurance and related businesses globally, including its direct underwriting activity at Lloyd’s. In his most recent role prior to joining Advantage, he was Managing Director of Willis’ Global Captive Practice from 2009 to 2015. At Willis, Mr. Boughner was responsible for overseeing self-insurance programs for clients in the Americas from offices in Barbados, Bermuda, the Cayman Islands, Hawaii and Vermont. Mr. Boughner entered the insurance business in 1977 and held executive positions with AIG, CNA, FM Global, and Zurich prior to his work for Willis. He is past Chairman of the Captive Insurance Companies Association and the Self Insurance Institute of America. Mr. Boughner received an MBA from York University, Toronto, Canada and holds a Bachelor of Mechanical Engineering degree from Carleton University in Ottawa, Canada.
- Eduardo Colon
- 暂无中文简介
Eduardo Colon is our Chief Banking Officer. Mr. Colón joined Advantage as a consultant in 2015 to advise on the start-up of Advantage International Bank Corp. He joined AIBC full-time as its President when it was licensed by the Puerto Rico Office of the Commissioner of Financial Institutions in December 2015. In addition to his day-to-day responsibilities with AIBC, Mr. Colón works across Advantage’s Life Insurance and Business Insurance segments to secure and maintain third-party banking relationships for Advantage’s insurance operations. Prior to joining Advantage, from 2013 to 2014 Mr. Colón was chief operating officer of Citi International Financial Services, based in Puerto Rico. Prior to Citi International, Mr. Colón was a commercial banking officer with SunTrust Bank in Miami, Florida from 2011 to 2013. Prior to SunTrust, he was with Scotiabank of Puerto Rico from 2005 to 2010 where he held positions including Treasurer and Head of Corporate and Commercial Banking. Mr. Colón has over 35 years of experience in financial services, beginning his career in Chase Manhattan Bank’s credit training program in 1982. He holds an MBA degree from the University of Massachusetts at Amherst and a Bachelors degree in Business Administration from the University of Puerto Rico. - 暂无中文简介
- Eduardo Colon is our Chief Banking Officer. Mr. Colón joined Advantage as a consultant in 2015 to advise on the start-up of Advantage International Bank Corp. He joined AIBC full-time as its President when it was licensed by the Puerto Rico Office of the Commissioner of Financial Institutions in December 2015. In addition to his day-to-day responsibilities with AIBC, Mr. Colón works across Advantage’s Life Insurance and Business Insurance segments to secure and maintain third-party banking relationships for Advantage’s insurance operations. Prior to joining Advantage, from 2013 to 2014 Mr. Colón was chief operating officer of Citi International Financial Services, based in Puerto Rico. Prior to Citi International, Mr. Colón was a commercial banking officer with SunTrust Bank in Miami, Florida from 2011 to 2013. Prior to SunTrust, he was with Scotiabank of Puerto Rico from 2005 to 2010 where he held positions including Treasurer and Head of Corporate and Commercial Banking. Mr. Colón has over 35 years of experience in financial services, beginning his career in Chase Manhattan Bank’s credit training program in 1982. He holds an MBA degree from the University of Massachusetts at Amherst and a Bachelors degree in Business Administration from the University of Puerto Rico.
- Stuart N. Jessop
- 暂无中文简介
Stuart N. Jessop is our Chief Underwriting Officer. Mr. Jessop joined Advantage in 2005 and is responsible for all underwriting activity related to our Life Insurance segment, including pricing of new policies issued and placement of reinsurance. Over the course of his career with Advantage, he has served as Group Controller, Chief Financial Officer and as a money laundering reporting officer. Prior to joining Advantage, Mr. Jessop worked in various trust, banking, securities and finance roles for Coutts & Co., now the private banking division of Royal Bank of Scotland. Prior to transferring to Coutts & Co., Mr. Jessop was an internal audit manager within National Westminster Bank’s Corporate Banking Division. He began his career with Ernst & Young in London, where he worked on audit and non-audit assignments for financial services clients. - 暂无中文简介
- Stuart N. Jessop is our Chief Underwriting Officer. Mr. Jessop joined Advantage in 2005 and is responsible for all underwriting activity related to our Life Insurance segment, including pricing of new policies issued and placement of reinsurance. Over the course of his career with Advantage, he has served as Group Controller, Chief Financial Officer and as a money laundering reporting officer. Prior to joining Advantage, Mr. Jessop worked in various trust, banking, securities and finance roles for Coutts & Co., now the private banking division of Royal Bank of Scotland. Prior to transferring to Coutts & Co., Mr. Jessop was an internal audit manager within National Westminster Bank’s Corporate Banking Division. He began his career with Ernst & Young in London, where he worked on audit and non-audit assignments for financial services clients.
- Tamara K. Kravec
- 暂无中文简介
Tamara K. Kravec is our Chief Financial Officer. Ms. Kravec has over 25 years of experience in the financial services industry and a deep understanding of the insurance sector and its operating issues. Prior to joining Advantage, Ms. Kravec was the Founder and CEO of BWT Consulting, LLC, where she worked as a strategic advisor to insurance and investment management companies. From 2008 to 2016 Ms. Kravec was a Partner, Managing Director and Senior Equity Research Analyst at NWQ Investment Management, LLC, where she was responsible for driving investment portfolio construction through research, analysis and idea generation in the global insurance, REIT and consumer discretionary sectors. From 2000 to 2008 Ms. Kravec worked at Banc of America Securities where she served as Director of Equity Research Management and subsequently held the position of Senior Equity Research Analyst responsible for covering the U.S. life insurance sector. While at Banc of America Securities, Ms. Kravec was ranked in The Wall Street Journal’s 2007 and 2008 “Best on the Street” Analysts Survey for stock picking. From 1997 to 2000 Ms. Kravec was an equity research analyst at Morgan Stanley covering the property-casualty and life insurance sectors. From 1992 to 1996 she was an equity research associate in the life insurance sector at Credit Suisse First Boston. Ms. Kravec holds an MBA degree from New York University Leonard N. Stern School of Business and a Bachelor of Science degree in Economics from Miami University in Oxford, Ohio. - 暂无中文简介
- Tamara K. Kravec is our Chief Financial Officer. Ms. Kravec has over 25 years of experience in the financial services industry and a deep understanding of the insurance sector and its operating issues. Prior to joining Advantage, Ms. Kravec was the Founder and CEO of BWT Consulting, LLC, where she worked as a strategic advisor to insurance and investment management companies. From 2008 to 2016 Ms. Kravec was a Partner, Managing Director and Senior Equity Research Analyst at NWQ Investment Management, LLC, where she was responsible for driving investment portfolio construction through research, analysis and idea generation in the global insurance, REIT and consumer discretionary sectors. From 2000 to 2008 Ms. Kravec worked at Banc of America Securities where she served as Director of Equity Research Management and subsequently held the position of Senior Equity Research Analyst responsible for covering the U.S. life insurance sector. While at Banc of America Securities, Ms. Kravec was ranked in The Wall Street Journal’s 2007 and 2008 “Best on the Street” Analysts Survey for stock picking. From 1997 to 2000 Ms. Kravec was an equity research analyst at Morgan Stanley covering the property-casualty and life insurance sectors. From 1992 to 1996 she was an equity research associate in the life insurance sector at Credit Suisse First Boston. Ms. Kravec holds an MBA degree from New York University Leonard N. Stern School of Business and a Bachelor of Science degree in Economics from Miami University in Oxford, Ohio.
- Matthew I. Lawson
- 暂无中文简介
Matthew I. Lawson is our Chief Accounting Officer. Mr. Lawson joined Advantage in 2014 and oversees all aspects of the company’s financial accounting and reporting activities. Mr. Lawson has over 15 years of financial and accounting experience. Prior to joining Advantage, from 2007 to 2014 Mr. Lawson was Vice President and Group Controller of Endeavour Mining Corporation, an intermediate gold producer. Earlier in his career, Mr. Lawson was an audit manager with Ernst & Young Ltd. in Bermuda, in their financial services practice focused on insurance and reinsurance clients. He also worked for a subsidiary of RenaissanceRe Holdings Ltd. as a senior investment accountant. Mr. Lawson is a Chartered Accountant and a member of the Chartered Professional Accountants of Canada and a Certified Public Accountant and is a member of the American Institute of Certified Public Accountants. Mr. Lawson has a Bachelor of Arts degree from the University of Victoria, British Columbia, Canada. - 暂无中文简介
- Matthew I. Lawson is our Chief Accounting Officer. Mr. Lawson joined Advantage in 2014 and oversees all aspects of the company’s financial accounting and reporting activities. Mr. Lawson has over 15 years of financial and accounting experience. Prior to joining Advantage, from 2007 to 2014 Mr. Lawson was Vice President and Group Controller of Endeavour Mining Corporation, an intermediate gold producer. Earlier in his career, Mr. Lawson was an audit manager with Ernst & Young Ltd. in Bermuda, in their financial services practice focused on insurance and reinsurance clients. He also worked for a subsidiary of RenaissanceRe Holdings Ltd. as a senior investment accountant. Mr. Lawson is a Chartered Accountant and a member of the Chartered Professional Accountants of Canada and a Certified Public Accountant and is a member of the American Institute of Certified Public Accountants. Mr. Lawson has a Bachelor of Arts degree from the University of Victoria, British Columbia, Canada.
- Eric A. Miller
- 暂无中文简介
Eric A. Miller is our Chief Information Officer. Mr. Miller joined Advantage in 2014 and is responsible for development, implementation and operations of the company’s information technology. Mr. Miller has over thirty years of experience in the insurance and financial services industries as an executive with and consultant to various insurance, investment management and banking institutions. In 2013 he was Chief Information Officer of PRMS, a subsidiary of Allegheny Corporation. From 2006 to 2012 Mr. Miller held various executive positions at Erie Insurance Group including Senior Vice President and Division Head for Information Technology. Earlier in his career, Mr. Miller was Head of Technology and Insurance Operations for Fidelity Investments’ life insurance and annuity business. Mr. Miller is a Certified Public Accountant, a Chartered Global Management Accountant and a Certified Anti Money Laundering Specialist. Mr. Miller earned an MBA from Suffolk University and a BS in Accounting with honors from the University of Massachusetts. - 暂无中文简介
- Eric A. Miller is our Chief Information Officer. Mr. Miller joined Advantage in 2014 and is responsible for development, implementation and operations of the company’s information technology. Mr. Miller has over thirty years of experience in the insurance and financial services industries as an executive with and consultant to various insurance, investment management and banking institutions. In 2013 he was Chief Information Officer of PRMS, a subsidiary of Allegheny Corporation. From 2006 to 2012 Mr. Miller held various executive positions at Erie Insurance Group including Senior Vice President and Division Head for Information Technology. Earlier in his career, Mr. Miller was Head of Technology and Insurance Operations for Fidelity Investments’ life insurance and annuity business. Mr. Miller is a Certified Public Accountant, a Chartered Global Management Accountant and a Certified Anti Money Laundering Specialist. Mr. Miller earned an MBA from Suffolk University and a BS in Accounting with honors from the University of Massachusetts.