Gary Carrington

Managing Director, Credit Officer @ S&P Global Ratings | Capital Markets

Role
Credit Officer at S&P Global
Location
Scottsdale, AZ, US
LinkedIn followers
500 followers
Finance & AccountingView LinkedIn profile

About Gary Carrington

With over 20 years of experience in credit analysis and portfolio management, I am a credit officer at S&P Global Ratings, where I lead the validation of the firm\'s rating methodology across all sectors globally. I have extensive expertise in commercial real estate and structured finance, especially in CMBS and CRE CLO, and I am responsible for ensuring the soundness, consistency, and adaptability of our criteria in response to market developments.I also serve as the global CMBS criteria officer, overseeing the revision and communication of the primary methodology for rating CMBS in the U.S, Canada, Europe, and Japan. I am a trusted spokesperson and a voting member of the SF criteria committee, and I provide analytical feedback and guidance on new financial instruments and complex transactions. In 2010, I received the highest business excellence award from S&P for my contributions to the firm. My mission is to enhance the transparency, credibility, and quality of our ratings and to support the growth and innovation of the CMBS market.

Experience

  1. Credit Officer

    S&P Global

    Jan 2018 — Present · Phoenix, AZ, US

    Led validation of S&P Global Ratings’ methodology articles across all sectors globally. Methodology validation included new methodology, periodic reviews of outstanding methodology, methodology revisions, exceptions, and guidance primarily using statistical analysis of rating performance. Participated in focused meetings to develop new methodology efficiently over several weeks. Acted as peer reviewer of methodology validation led by other team members. Embedded lean management coach for validation group responsible training team members and answering questions as they arose during implementation of lean management techniques.

Education

  • Cornell University

    BS, Applied Economics

    1994 — 1998

  • Cornell University

    MS, Real Estate

    2001 — 2003

Skills

  • Investments
  • Structuring
  • Bloomberg
  • Structured Products
  • Asset Management
  • Bonds
  • Cmbs
  • Research
  • Cdo
  • Underwriting
  • Credit
  • Financial Modeling
  • Securitization
  • Credit Analysis
  • Structured Finance
  • Real Estate
  • Ratings
  • Valuation
  • Capital Markets
  • Data Analysis
  • Financial Markets
  • Real Estate Finance
  • Commercial Real Estate
  • Debt
  • Fixed Income
  • Derivatives
  • Financial Analysis
  • Analysis
  • Credit Risk
  • Portfolio Management
  • Loans

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