Page 10 - OIG 2018 Brochure
P. 10

  Michael Sutherland ManagingDirector, Corporate Trust
Shane Ritchie
Managing Director, Custody
Graham Hook
Director, Operations
Michael has over 20 years’ experience in the financial services industry including 12 years’ experience in providing trustee, custody and administration services to the debt capital markets and funds management industry.
In this time Michael spent 7 years at Perpetual Limited where he was a senior lawyer in Perpetual’s legal teams. Michael has also spent a number of years in other business and legal roles including working in large, medium and boutique fund managers, retail banks, investment banks, structured credit providers and hedge funds, such as ANZ, ABN AMRO, AMP, Everest and Absolute Capital.
Michael also has experience acting as an executive director of Responsible Entities, ASX listedcompanies(executivedirectorandcompanysecretary)andactingasamemberof investment, product, risk, audit and compliance committees.
Michael holds a Bachelor of Law from University of Technology Sydney and a Bachelor of Arts from Macquarie University. He is a member of the Australian Securitisation Forum and holds a current practising certificate from the NSW Law Society.
Shane is a senior finance professional with more than 25 years’ operational experience within the financial industry both in Australia and overseas. Having worked at a number of custodians, fund managers and brokers, Shane has extensive experience with back and middle office functionality across numerous asset classes for both local and international markets.
Prior to joining OIG, Shane led the custody area at Mainstream Fund Services for 2 years, and prior to that ran the Overnight Operations team at NAB in Melbourne for 5 years. Shane has also had management roles in project management, trade & settlements, corporate actions, FX, transitions, and customer service. The bulk of Shane’s experience has been gained at organisations including Credit Suisse, JP Morgan, CLSA, State Street and National Australia Bank.
Graham has in excess of 25 years of experience as an operations and compliance professional gained in various boutique funds management companies. The most recent experience was at equity manager Investors Mutual Limited, where Graham was General Manager for 5 years and a member of the compliance committee. During his time at Investors Mutual Limited, he was also on the Board of a listed investment company, QV Equities Limited.
Prior to this, Graham spent 11 years and was a founding shareholder at boutique hedge fund manager, PM Capital Limited, where he was responsible for the establishment of the operations and compliance functions. This included acquiring the company’s AFSL, being a compliance committee member, appointing prime brokers, and all other aspects of investment operations.
Graham has a Bachelor of Commerce and a Graduate Diploma in Applied Corporate Governance. He is also a Justice of the Peace.
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