Editorial Board

Journal of Securities Operations & Custody is guided by an expert Editorial Board who review every article to ensure it is practical, authoritative and relevant:

  • Mark Austen, Chief Executive Officer, ASIFMA
  • Michael Bodson, Chief Operating Officer, DTCC
  • Philip J. Brown, Member of the Executive Board, Clearstream Banking
  • Yener Coşkun, Chief Expert, Intermediary Activities Dept., Capital Markets Board of Turkey
  • Glen C. Dailey, Managing Director, Head of Prime Brokerage, Jefferies & Co
  • Carlo de Meijer, Economist and Researcher, Independent Financial Services Advisors
  • Godfried DeVidts, Director of European Affairs, ICAP
  • Andrew Douglas, Head of Public Affairs, Europe, DTCC
  • Göran Fors, Global Head of Custody, SEB
  • Werner Frey, Managing Director, Association for Financial Markets in Europe
  • Rudy Gadenz, VP, Global Market Information and Strategic industry Initiatives, State Street
  • Harry Leinonen, PSS Consultancy, and former Financial Counsellor, Ministry of Finance, Finland
  • Jane Levi, Managing Director, Silphium Consulting
  • Susan Light, SVP and Chief Counsel, Enforcement Department, FINRA
  • Christopher Marzullo, Senior Manager, Fixed Income Middle Office, Lord Abbett
  • Taketoshi Mori,Senior Manager, Center for Risk Management Strategy, Deloitte Touche Tohmatsu LLC
  • Mario Nava, Director Financial Institutions, Internal Market and Services DG, European Commission
  • Luis Felipe Paiva, Head of Depository Services, Brazilian Clearing and Depository Corporation
  • Rafael Plata, Secretary General, European Association of CCP Clearing Houses (EACH)
  • Henry Raschen, Head of Regulatory and Industry Affairs Europe, HSBC Securities Services
  • Rudolf Siebel, Managing Director, Bundesverband Investment und Asset Management
  • Urs Stähli, Managing Director, UBS and Secretary, International Securities Services Association
  • Terri van Praagh, SVP, Investment Operations Outsourcing EMEA, Northern Trust
  • Fabian Vandenreydt, Head of Markets Management & Core Business Development, SWIFT
  • James P. Wallin, SVP, AllianceBernstein Fixed Income
  • Swen Werner, Managing Director, Regional T2S Product and Implementation Director, State Street

Regulation and compliance advisory group

  • Paula A. Bosco, Managing Director, Chief Regulatory Counsel and Chief Compliance Officer, New Mountain Capital
  • Gary Pitts, Managing Partner, Tetractys Partners
  • Steven M. Felsenthal, General Counsel and Chief Compliance Officer, Millburn Ridgefield Corporation
  • Linda Riefberg, Member, Cozen O'Connor
  • Peter Von Maur, Director, Senior Counsel, RBC Capital Markets