Scott Lines is responsible for the overall management of the LOM Financial Group. Prior to co-founding LOM in 1992, Scott worked for The Bank of Bermuda Limited in fund management. Scott is a graduate of the University of Toronto, with a B.A. in Economics and nearly 40 years of experience in the global financial markets. In addition to his duties on LOM’s Board, Scott serves as Chairman of Auto Solutions Limited as well as Director of St. George’s Group, Masters Limited and Queen Street Holdings Limited.
Malcolm Moseley is Executive Vice President and Chief Financial Officer. Having worked at LOM for over 25 years, Malcolm is responsible for the Group’s external and internal financial reporting, treasury management and daily reconciliation processes. Malcolm sits on the Executive Committee, Credit Committee, Technology Task Force and Charity Committee.
Scott Hill is the Executive Vice President and Chief Operating Officer of LOM Financial Group, and Managing Director of all of the Group subsidiaries. Scott oversees the Group’s Trading, Operations and Compliance departments while also sitting on the Executive Committee, and the Listing and Credit Committees. Scott has over 25 years of experience within the Group.
Scott received a B.A. from the University of Virginia, and has received the Series 3 and 65 Financial Industry Regulatory Authority licenses in the US.
Craig Lines oversees the Group’s international operations and is based in our Nassau, Bahamas office. Prior to joining LOM in 1997, Craig worked in trading and corporate finance at Canaccord (Genuity) Capital and in operations and risk control at Everest Capital Limited, an institutional hedge fund manager. Craig serves as a Director on a number of private holding and operating companies in addition to LOM’s Board.
Bryan Dooley is responsible for the management of LOM’s flagship BSX-listed mutual funds, large discretionary portfolios and oversight of the portfolio management process. Bryan’s investment career spans over three decades of investment management, client relationship building, team leadership and portfolio construction. Prior roles have included Head of Portfolio Management, Senior Investment Strategist, Senior Vice President and Trust Investment Officer and Private Client Advisor at institutions including the Wilmington Trust Company, Citigroup Inc. and Bank of America.
Bryan is a Chartered Financial Analyst (CFA), earned a Master’s degree in Business Administration from the College of William and Mary and a Bachelor’s degree from the University of Florida. Bryan is a former President of the South Florida CFA Society and a current member of the Bermuda CFA Society. Bryan has achieved consistent, top-quartile investment returns for portfolios valued in excess of a billion dollars.
Cornell Bean is Head of Trading for Global Custody and Clearing Limited. Global Custody & Clearing Limited provides centralized global trading and execution services to the Group, dealing in equities, bonds, derivatives, physical gold and foreign exchange.
Cornell is a Financial Risk Manager – Certified by the Global Association of Risk Professionals, holds a Series 7 License from the Financial Industry Regulatory Authority and a Bachelor of Science from Florida Southern College
Sandra Stephens is responsible for overseeing the Group’s compliance department. With over 30 years of experience in financial services industry covering multiple risk disciplines including, financial crime, regulatory, credit, and operational. Sandra recently served as the Head of Compliance for two digital asset firms, where she was instrumental in setting up the local subsidiaries. Previously she was VP of Regulatory Compliance at Butterfield Bank , a Principal with the Bermuda Monetary Authority and VP Head of Credit at HSBC Bank Bermuda. Sandra holds an MBA from Dalhousie University and a BBA in Economics from the University of New Brunswick.
With over 30 years of experience in the global financial markets, Michael Greaves is the Global Head of Advisory for the Group. Prior to joining LOM, Michael was the Sales Manager at Maitland Group’s Asset Management division and was Senior Vice President at Prudential Bache Securities in London.
Michael received a BSc Business Administration and Behavioral Science from Rider University along with several investment industry qualifications, including the Series 3, 7, 63 and 65 Financial Industry Regulatory Authority licenses in the US.
Zina Jacobs is Head of Operations for Global Custody and Clearing Limited. Zina is responsible for managerial oversight of the investment operations functions supporting global settlements, custody, cash management, portfolio accounting and physical vault services. Prior to joining LOM in 1997, Zina worked at Butterfield Bank.
Justin Cornell is the Chief Information Officer, based in our Bristol office. Having over 25 years of experience in various IT roles, Justin is now responsible for the Group’s technology strategy along with managing overall IT operations and client support. Justin’s initiatives include the launch of LOM’s online trading application “OPUS” and the continual improvement of IT applications in response to both internal and external requests.
Prior to joining LOM, Justin was a consultant at Global Asset Management (GAM) supporting various global offices, a business analyst at Cantrade Private Bank and worked in various IT roles at Natwest Markets in London.
Having obtained a GSLC certificate in 2017, Justin is a current member of the GIAC advisory board. The GSLC qualification for security leadership is a worldwide endorsement for security professionals, certifying a high level of cyber-security training and awareness across every major cyber security category.
Kristen Halbert is the Global Head of Marketing. With over 10 years of experience in global marketing and international relationship management, Kristen is responsible for the Group's marketing strategy, communications and customer experience.
Kristen holds a BCom in Business, Marketing and Accounting with a post graduate BCom (Honours) in Business Management from Nelson Mandela University along with a Canadian Securities Course (CSC) designation from the Canadian Securities Institute.