Brian Archer

Managing Director & Head of Global Credit Trading at Citigroup, Inc.

Brian Archer

Brian Archer

Managing Director & Head of Global Credit Trading at Citigroup, Inc.

Biography

Brian Archer is on the board of International Swaps & Derivatives Association, Inc.

Overview
RelSci Relationships

6871

Number of Boards

2

Relationships
RelSci Relationships are individuals Brian Archer likely has professional access to. A relationship does not necessarily indicate a personal connection.

Cluster Head, Central & Eastern Europe at Citigroup, Inc.

Relationship likelihood: Strong

Global Head of Direct Custody & Clearing for Global Transaction Services at Citigroup, Inc.

Relationship likelihood: Strong

Chief Executive Officer at International Swaps & Derivatives Association, Inc.

Relationship likelihood: Strong

Managing Director at Citigroup Global Markets, Inc. (Broker)

Relationship likelihood: Strong

Chief Executive Officer, Citigroup at Institutional Clients Group

Relationship likelihood: Strong

Chief Financial Officer at Citigroup, Inc.

Relationship likelihood: Strong

Corporate Secretary & General Counsel at Citigroup, Inc.

Relationship likelihood: Strong

Head, Productivity at Citigroup, Inc.

Relationship likelihood: Strong

Head of Telecoms, EMEA at Citigroup, Inc.

Relationship likelihood: Strong

Global Head of Technology & Communications Investment Banking at Citigroup, Inc.

Relationship likelihood: Strong

Paths to Brian Archer
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Brian Archer
Managing Director & Head of Global Credit Trading at Citigroup, Inc.
Education
MBA with a Concentration in Finance

Since its inception in 1900, New York University Stern School of Business has been in and of New York City. Founded as the School of Commerce, Finance, and Accounting, the School initially offered training to students for careers in commerce in the burgeoning financial markets of New York City. Today, located in the heart of Greenwich Village with a campus in Westchester, Stern is one of the nation’s premier management education schools and research centers with a broad portfolio of academic programs at the graduate and undergraduate levels. With its global partnerships and engagement in NYU’s global network university, today NYU Stern is not only in and of the city, but also in and of the world.

BS in Accounting

Founded in 1888, The University of Scranton is a private Catholic and Jesuit university that is known for outstanding academic quality, a beautiful and technology-rich campus, and a sense of community that helps you feel right at home. Nestled in Pennsylvania’s Pocono Northeast region, The University’s 58-acre hillside campus is in the heart of Scranton, a community of 75,000 within a greater metropolitan area of 750,000 people. Scranton offers 61 bachelor’s degree programs, 45 minors, 25 master’s degree programs and a doctor of physical therapy program through four colleges and schools. Visit our Undergraduate and Graduate program pages to see the full range of available majors. Always Improving Since 2003, we've invested more than $237 million in campus improvements, either completed or under way. Recently completed buildings include a new campus center and sophomore residence hall. In fall 2011, the University opened the first phase of the new Loyola Science Center, as well as Pilarz and Montrone halls, which include apartment-style residences and a fitness center. The second phase of the Loyola Science Center opened in fall 2012. In addition, we recently completed a beautification project extending the Commons and improving Mulberry Street, the gateway to campus.

Career History
Audit Department
1990 - 1994

KPMG International Cooperative focuses on the promotion of the economic interests of its members. It engages in the protection, promotion, improvement, and expansion of the KPMG Group. The company was founded on February 8, 1988 and is headquartered in Zug, Switzerland.

Professional
Prior

JPMorgan Chase & Co. is an American multinational banking and financial services holding company. It is the largest bank in the United States by assets, and as of 2012, it ranks as the second largest bank in the world by assets with total assets of $2.509 trillion. It is a major provider of financial services, and according to Forbes magazine is the world's second largest public company based on a composite ranking. The hedge fund unit of JPMorgan Chase is one of the largest hedge funds in the United States. It was formed in 2000, when Chase Manhattan Corporation merged with J.P. Morgan & Co

Managing Director & Head of Global Credit Trading
Current

Citi works tirelessly to provide consumers, corporations, governments and institutions with a broad range of financial services and products. They strive to create the best outcomes for their clients and customers with financial ingenuity that leads to solutions that are simple, creative and responsible.

Boards & Committees
Director
2010 - Current

Since its founding in 1985, the International Swaps and Derivatives Association has worked to make over-the-counter (OTC) derivatives markets safe and efficient. ISDA’s pioneering work in developing the ISDA Master Agreement and a wide range of related documentation materials, and in ensuring the enforceability of their netting and collateral provisions, has helped to significantly reduce credit and legal risk. The Association has been a leader in promoting sound risk management practices and processes, and engages constructively with policymakers and legislators around the world to advance the understanding and treatment of derivatives as a risk management tool. Today, ISDA has over 800 member institutions from 60 countries.

Member, Fixed Income Market Structure Advisory Committee
2017 - Current

The U.S. Securities and Exchange Commission (SEC) is an agency of the United States federal government. It holds primary responsibility for enforcing the federal securities laws and regulating the securities industry, the nation's stock and options exchanges, and other electronic securities markets in the United States. In addition to the Securities Exchange Act of 1934 that created it, the SEC enforces the Securities Act of 1933, the Trust Indenture Act of 1939, the Investment Company Act of 1940, the Investment Advisers Act of 1940, the Sarbanes–Oxley Act of 2002, and other statutes. The SEC was created by Section 4 of the Securities Exchange Act of 1934.

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