Liquidity Risk Management Live Teleconference Speakers

Leonard Matz
Section Chief, Capital Markets Examination Support
SunGard Bancware
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Leonard Matz is currently employed by SunGard BancWare as Director of Liquidity and Interest Rate Risk Consulting. He is an author, consultant, and bank trainer specializing in risk management and ALM for financial institutions. Previously, he spent five years as a bank examiner and fifteen years in various bank management positions. Mr. Matz is the author or co-author of numerous risk management and investment books, including: Liquidity Risk Measurement and Management: A Practioner’s Guide to Global Best Practice, Liquidity Risk Management, Risk Management for Banks, Interest Rate Risk Management, and Self-Paced Asset/Liability Training. He is a frequent speaker and industry conferences and training programs around the world and has been a member of the North American Asset/Liability Management Association since 1989.
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Craig Marchbanks
Supervisory Financial Analyst
Board of Governors of the Federal Reserve System (FRS)
Mr. Marchbanks is Supervisory Financial Analyst, Market &
Liquidity Risk, in the Division of Bank Supervision and Regulation at the
Board of Governors of the Federal Reserve System. Mr. Marchbanks is
primarily involved in the supervision of banks’ interest rate risk
management activities.
Prior to joining the Board in 2004, Mr. Marchbanks served as Vice President
and Senior Asset/Liability Analyst for the Bank of Bermuda, (member HSBC
group). Mr. Marchbanks has also worked as a Senior Financial Analyst for
Pentagon Federal Credit Union, and as an Interest Rate Risk Analyst, and
Fixed Income Trader for First American Bank.
Mr. Marchbanks received his BA from Lake Forest College and his MBA from
Marymount University.
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Dr.
Susan M. Mangiero
President and CEO, Managing Member
Pension Governance, LLC
Dr. Mangiero is President and CEO of Pension Governance,
LLC with over twenty years of experience in capital markets, global
treasury, asset-liability management, portfolio management, financial risk
control and valuation. She has worked on three trading desks, in the areas
of foreign exchange, fixed income, futures and options. An Accredited
Valuation Analyst, Accredited, Investment Fiduciary Analyst, Chartered
Financial Analyst and certified Financial Risk Manager. Dr. Mangiero is
regularly invited to speak about valuation, risk and governance with an
emphasis
on applications to pensions and hedge funds. She has addressed groups that
include the U.S. Department of Labor, Chicago Board of Trade, New York State
Department of Insurance, Merrill Lynch, Association of Public Pension Fund
Auditors, Association of Forensic Economics, New England Public Employee
Retirement Systems Forum, Global Association of Risk Professionals, American
Society of Appraisers, the Wall Street Transcript, Strategy Institute,
Connecticut State Department of Banking, Canadian Investment Review
(keynote), Strategic Research Institute, Incisive Media (publisher of Hedge
Funds Review) and the Connecticut Society of Certified Public Accountants.
Her book, Risk Management for Pensions, Endowments, and Foundations (John
Wiley & Sons, 2005), looks at risk management and valuation issues, with an
emphasis on fiduciary responsibility and best practices. Her articles have
appeared in Hedge Fund Review, Investment Lawyer, Valuation Strategies, RISK
Magazine, Financial Services Review, Family Foundation Advisor, Hedgeco.net,
Expert Evidence Report, and Bankers Magazine. Susan Mangiero has written
chapters for several books including the Litigation Services Handbook and
The Handbook of Interest Rate Risk Management and is a contributing editor
of the Journal of Compensation and Benefits. She has been quoted in places
that include the New York Times, Wall Street Journal, Baltimore Sun,
Bloomberg.com, 401(k) Wire and Pensions & Benefits. She holds a Ph.D. in
finance from the University of Connecticut, an MBA in Finance from New York
University, an MA in Economics from George Washington University.
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Michael L. Stevens
SVP & Director of Regulatory Affairs
Conference of State Bank Supervisors (CSBS)

Mike serves as the Senior Vice President for Regulatory Policy at the Conference of State Bank Supervisors (CSBS). In this capacity, Mike represents the state banking system in the development of federal regulatory policy in the areas of consumer protection and safety and soundness. He is also responsible for any issues related to the coordination and cooperation between state and federal regulators. Mike serves as the staff director for the Regulatory Committee, State Federal Working Group, and the FFIEC’s State Liaison Committee. Prior to this assignment, Mike worked in all facets of CSBS’s Professional Development Division. He is a frequent instructor and speaker on bank examination, bank financial analysis and regulatory issues. Mike serves on the faculty of the Graduate School of Banking at Colorado, the Texas Tech Bank School and the Graduate School of Bank Investments and Financial Management. Prior to joining CSBS in 1999, Mike was a bank examiner for the Iowa Division of Banking for 11 years.
Mike is a graduate of the University of Nebraska at Omaha. He lives in Ashburn, Virginia with his wife, Becki, and two children.
