Thomas Ajello
About Thomas Ajello
Thomas Ajello is a Senior Analyst in Wholesale Banking at Synovus, where he has worked since 2021. He specializes in credit risk analysis and has a background in corporate banking and finance.
Work at Synovus
Thomas Ajello has been employed at Synovus since 2019, initially serving as a Corporate Banking Analyst for two years. In 2021, he transitioned to the role of Senior Analyst in Wholesale Banking, where he specializes in credit risk analysis within the Syndications/National Accounts Group. His current position involves a focus on wholesale banking operations, leveraging his expertise in syndications and national accounts. Ajello's work is based in Atlanta, Georgia.
Previous Experience in Banking
Before joining Synovus, Thomas Ajello worked at ServisFirst Bank as a Credit Analyst from 2018 to 2019 in Birmingham, Alabama. His role involved assessing credit risk and evaluating financial data to support lending decisions. Additionally, he gained experience as a Summer Financial Analyst at XL Catlin in 2016, where he worked for three months in the Hartford, Connecticut area. This diverse background has contributed to his analytical skills in the banking sector.
Education and Expertise
Thomas Ajello holds a Bachelor of Science in Commerce and Business Administration from the University of Alabama, where he studied Finance, Economics, and Investment Management from 2013 to 2017. He completed his high school education at Holderness School from 2011 to 2013. His academic background provides a strong foundation for his current role in credit risk analysis and wholesale banking.
Career Progression
Thomas Ajello's career progression reflects a steady advancement in the banking industry. He began as a Summer Financial Analyst at XL Catlin, then moved to ServisFirst Bank as a Credit Analyst. His tenure at Synovus began in 2019 as a Corporate Banking Analyst, and he was promoted to Senior Analyst in Wholesale Banking in 2021. This trajectory showcases his growth and increasing responsibilities in financial analysis and risk management.