Ron Ryan

President @Tuff Risk

Calgary, AB, CA
MOBILE NUMBERS
+91 *********19

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WORK HISTORY

Apr 2000 — Present

President @Tuff Risk

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Calgary, AB, CA

Above all, I am responsible for client relations and business development, which allows me extensive travel to visit valued clients, as well to meet, first hand, those interested in joining our league. I am also deeply involved in the unique challenges associated with marketing our Tuff360 banking software. The world is seemingly too big to travel, industry trade shows are no longer effective marketing vehicles and the internet rules. As team leader, I get to work with some very talented and creative Tuff Risk staff developing new internet marketing strategies.

EDUCATION

1971 — 1976

University of Saskatchewan

B. Comm., General Business

1981 — 1983

Dalhousie University

M.B.A, Finance & International Business

1990 — 1993

CFA Institute

CFA

SKILLS

InvestmentsStrategic PlanningCustomer ServiceStrategic Financial PlanningBusiness AnalysisBankingAccountingVendor ManagementRisk ManagementPerformance ManagementSales ManagementBudgetsProcess ImprovementProgram ManagementBusiness DevelopmentCreditFinancial ModelingNew Business DevelopmentNegotiationValuationBusiness PlanningOperations ManagementManagement ConsultingCorporate FinanceStrategyLeadershipMicrosoft OfficeSalesFinancial AnalysisOrganizational DevelopmentPublic RelationsBusiness StrategyMarketing StrategyPublic SpeakingMarketing CommunicationsProduct DevelopmentAccount ManagementChange ManagementEntrepreneurshipCoaching

ABOUT RON RYAN

Tuff Risk has provided banks and credit unions interest rate risk, foreign exchange and fixed income investment strategies since April 1. Interest Rate Risk ManagementTuff Risk provides insight into a financial institution\'s balance sheet through its global Asset Liability Management (ALM) consulting services. With a focus on profitability Tuff Risk client-specific ALM risk management strategies ensure future net interest income and balance sheet market values are well safeguarded.Tuff Risk offers daily, monthly or quarterly risk analytics, utilizing the power of FIS BancWare ALM6, providing firm-specific on-balance sheet and derivative risk management strategies, incorporating interest rate swaps, caps and floors, and bond forwards. Fixed Income Portfolio ManagementWe provide clients with quality fixed income investment strategies and products.Tuff Risk fixed income portfolio strategies have increased investment returns by as much as 70% by designing client-specific investment strategies and sourcing quality high, high yielding fixed income investments through several dealers. Foreign Exchange Risk ManagementFX strategies are designed for both financial and non-financial institutions through its proprietary buy / hold / sell models. Technical in nature, Tuff Risk\'s short, mid and long-term FX models are designed to protect clients\' bottom line even in volatile markets.

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