Rob Fitzpatrick
Manager, Mergers & Acquisitions at Federal Reserve Bank of Boston
- Role
- Manager, Mergers & Acquisitions at Federal Reserve Bank of Boston
- Location
- Boston, MA, US
- LinkedIn followers
- 500 followers
About Rob Fitzpatrick
Long-tenured and senior Federal Reserve Board of Governors-commissioned, safety and soundness bank examiner with substantial business and regulatory experience in banking and insurance (Risk, Compliance, and Finance)• Bank capital planning, stress testing/forecasting, CCAR specialist with advanced mastery of the Basel capital accords, Dodd-Frank Act, and Regulation YY Enhanced Prudential Standards for foreign banking organizations• Attorney and versatile regulatory remediation and compliance troubleshooter (SR 08-08 Consolidated Compliance Programs, Intercompany Transactions Reg. W 23A & B, and BSA/AML/OFAC)• Well-versed in securities industry and key regulations including: custody; asset management; broker/dealer activity; Investment Company Act of 1940; Securities Act of 1933; Securities Exchange Act of 1934; regulations governing margin lending; common law fiduciary principles; and financial instruments• Fluency in the Institute of Internal Auditors (IIA) Standards• Acquires and masters new skills quickly, strong written and oral communications skills, and a positive, collaborative work style
Experience
Manager, Mergers & Acquisitions
Federal Reserve Bank of Boston
May 2022 — Present · Boston, MA, US
Manages team of professional analysts responsible for processing applications and notices submitted to the Federal Reserve System pursuant to the Bank Holding Company Act of 1956, as amended, and the Federal Reserve Act related to: bank holding company mergers, acquisitions, and non-banking activities; state member bank mergers and branch expansion; and international banking applications
Education
Questrom School of Business, Boston University
Master of Business Administration (MBA), Finance
1999 — 2001
Boston University
Bachelor of Science (BS), Economics
Suffolk University Law School
Juris Doctor (JD) Magna Cum Laude, Banking, Corporate, Finance, and Securities Law
1996 — 1999
Skills
- Basel Iii
- Securities
- Anti Money Laundering
- Corporate Compliance
- Financial Risk
- Asset Management
- Credit Risk
- Financial Services
- Credit
- Financial Modeling
- Corporate Governance
- Ccar
- Banking
- Risk Management
- Finance
- Capital Markets
- Enterprise Risk Management
- Loans
- Internal Audit
- Operational Risk
- Financial Analysis
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