Russell Archibald
About Russell Archibald
Russell Archibald is the AVP of Collateral Management at Jefferies in London, with extensive experience in collateral management across various financial institutions.
Current Title and Role
Russell Archibald currently holds the position of Assistant Vice President (AVP) of Collateral Management at Jefferies. He has been with the company since 2017 and is based in London, United Kingdom. His role involves managing collateral and ensuring efficient collateral management processes.
Professional Experience at Credit Suisse
From 2015 to 2017, Russell Archibald worked at Credit Suisse as a Collateral Manager in London, United Kingdom. During his tenure, he was responsible for overseeing collateral management operations and ensuring compliance with various financial regulations.
Roles at Macquarie Group
Russell Archibald had significant roles at Macquarie Group. From 2010 to 2012, he served as the North American Manager - Collateral in New York. Prior to this, from 2007 to 2010, he was a Collateral Manager in London, United Kingdom. His responsibilities included overseeing collateral processes and managing risk for the company’s financial operations.
Positions at JPMorgan Chase
At JPMorgan Chase, Russell Archibald worked in two significant roles. From 2005 to 2007, he was a Collateral Management Analyst, focusing on managing collateral requirements and mitigating financial risks. Before this role, he served as a Trade Analysis Administrator for four months in 2004, dealing with trade analysis and administration tasks.
Educational Background
Russell Archibald has a strong educational background from Bournemouth University. He earned a Master of Science (MSc) in Computer Animation in 2004. Before that, he completed a Bachelor of Science (BSc) Hons in Applied Psychology and Computing in 2003. This diverse education has given him a blend of technical and analytical skills that are valuable in his professional roles.
Technical Skills and Expertise
Russell Archibald has extensive experience in managing CCP margining across multiple clearing houses. He utilizes tools such as Smartstream TLM and TriOptima for managing derivatives and CSA/ISDA contracts. His background encompasses both OTC and exchange-traded products margining, demonstrating his comprehensive knowledge in the financial industry.