Mark Clemens

Lead Trading Relationship Manager & Equities Trader, Norwegian Sovereign Wealth Fund. Fintech Board Member

Norway

About

Experience

  • Norges Bank Investment Management (16 yrs 10 mos)
    • Lead Relationship Manager & Equities Trader, Equities Trading & Transition, Market Strategies
      Jan 2021 - Present · 5 yrs 6 mos

      Global Lead Relationship Manager for NBIM's Trading counterparties. Equity Trader, Global markets, Quantitative and High Touch Trading

    • Head of CIO Office & Senior Relationship Manager, Equity Strategies
      Jan 2015 - Jan 2021 · 6 yrs 1 mo

      Support Chief Investment Officer in managing sector strategies, special mandates, corporate credit, capital markets across all NBIM offices. Directly manage external research, sell-side relationship management, broker reviews, internal primary research including market surveys and big data analysis, company valuation model, industry-level research, research focus reviews, trainee development, budget management, KPI and management reporting, MiFID-2 implementation, business compliance, system strategy.

    • Senior Investment Analyst, Sector Strategies
      Jan 2014 - Jan 2015 · 1 yr 1 mo

      Support Sector Strategies Portfolio Managers in all internal and external research needs. Onboarded over 100 investment banks globally. Created broker review process and lead semi-annual meetings. Developed PM training including company meeting interview techniques and company valuation and accounting. General Financial control.

  • Citi (10 yrs)
    • Managing Director, Chief Administrative Officer, Global Compliance & Control
      Mar 2007 - Sep 2009 · 2 yrs 7 mos

      Senior management team of global Citi Compliance & Control, reporting to CCO, head office New York. Responsible for development of global comprehensive integrated risk reporting across all Citigroup business lines and regions. Reporting on compliance risk and remediation for CEO, Internal Audit, Regulators and Board. Designed and implemented a new global Enterprise Risk model considered best in class by SEC. Responsible for development of Compliance systems and monitoring tools. Member of corporate M&A review team. Member of Citi's Crisis Management team. Member of Citi's global Whistleblower review team. Liaison with Citi's primary regulators on topics of special interest. Lead administration, financial planning, and human resources for the division.

    • Director, CAO GWM Compliance & CAO Global Anti-money Laundering
      Sep 2005 - Oct 2008 · 3 yrs 2 mos

      Global Compliance CAO for Citi’s Equity Research, Smith Barney and Private Banking (Global Wealth Management) division and also for the stand-alone Global Anti-Money Laundering team (all Citi business lines). Coordinated regulatory and compliance risks and remediation plans across. Planned and implemented extensive build-out and robust design of Compliance function.

    • Director, Business Manager, Investment Research US & Latam, Quant and Technical research
      Oct 2003 - Sep 2005 · 2 yrs

  • Euro and Y2K Consultant at Salomon Brothers Inc
    Jul 1997 - Oct 1999 · 2 yrs 4 mos