A Framework for Balance Sheet Risk Management

November 1, 2014 Dave Sweeney

About the Author

Dave Sweeney

David J. Sweeney is Managing Director for Chatham Investment Advisors, an independent investment advisor. David spent fourteen years as a Principal at a big four accounting firm, and eight years in CFO and treasury positions at community banks, managing over $1 billion in investment securities, and over $1 billion in wholesale funding and asset/liability management process. He leads a team of advisory professionals with deep community bank experience.

Follow on Linkedin More Content by Dave Sweeney
Previous Resource
POLAR – Path of Least Accounting Resistance
POLAR – Path of Least Accounting Resistance

POLAR can help guide financial institutions to the simplest, most efficient and accounting-friendly solutio...

Next Resource
Going Long: Four Ways to Mitigate the Risk of Long-Term, Fixed-Rate Lending
Going Long: Four Ways to Mitigate the Risk of Long-Term, Fixed-Rate Lending

For any financial institution that wants to use derivatives to mitigate the interest rate risk associated w...

×

Subscribe to Chatham's weekly Market Insights

First Name
Last Name
Company
!
Thank you!
Error - something went wrong!