About Mark Marinello

A financial services professional with broad experience in risk management, Mark Marinello graduated from Tulane University in the top two percent of his class, earning a BS in management and economics. Subsequently, he earned an MBA in finance, money, and financial markets from Columbia Business School. During his graduate studies, Mark Marinello belonged to the American Finance Association and the Investors' Club.

Early in his career, Mark Marinello worked as a senior credit analyst and pricing analyst for IBM Global Financing, as well as a portfolio manager and senior credit officer for GE Capital Services. Additionally, while a balance sheet strategy manager for IBM Corporation, he oversaw pension strategy and capital structure operations for the company’s corporate treasury, including managing risk on retiree-associated liabilities worth $61 billion.

Following his work as a financial officer for a number of major corporations, Mark Marinello served as president of his consultancy Marinello Associates, LLC, in Fairfield, Connecticut. With his combined knowledge of risk and market management, he provided specialized consulting within the financial industry.

Most recently, Marinello served as treasury director at the London offices of Shenzhen, China-based Huawei Technologies Co. Ltd. As the leader of liquidity risk management operations, he supervised $11 billion of cash administration activities and ensured effectual schemes were enacted for short- and long-term financing. He also analyzed investment strategies for any alterations needed to maximize returns.

Work History

Work History
Nov 2012 - Jan 2015

Director, Treasury

Huawei Technologies Co Ltd
Aug 2009 - Nov 2012

President

Marinello Associates LLC
May 1999 - Jun 2001

Manager, Global Risk Management Group

IBM Corporation

Education

Education
Jan 1990 - Jan 1991

MBA

Columbia Business School
Jan 1983 - Jan 1987

BS

Tulane University