Brian Sawicki
Brian Sawicki is a seasoned professional with a strong background in Treasury, Fixed Income, and equity financing, with expertise in Prime Brokerage, repo, total return swap, credit agreements, Collateral & liquidity management, and margin optimization.
Brian has a deep understanding of Unencumbered cash yield enhancement, counterparty relationship management, Repo trading, Money markets, PB, ISDA, MRA, FCM, MSFTA, and credit agreement terms and pricing/margin negotiation, covenant monitoring and remediation, as well as counterparty and credit risk management.
With a wealth of experience in Dealer wallet management and balance sheet/return efficiency, Brian Sawicki has held various key positions in renowned organizations, including Senior Manager at a Hedge Fund Management Firm, Head of Portfolio Finance & Liquidity Management, Deputy Head of Portfolio Finance & Liquidity Management, Collateral & Liquidity Management Manager, and Collateral Management Analyst at BlueMountain Capital Management.
Prior to his roles at BlueMountain Capital Management, Brian also served as a VP at Goldman Sachs, an AVP at Merrill Lynch, and started his career as an Accountant at IBM.
Brian Sawicki pursued his education at Siena College, enriching his professional journey with a strong academic foundation.