Scott G. S. Lines – Chairman and Chief Executive Officer
Scott Lines is responsible for overall management of the LOM group. He has 30 years experience in the global financial markets. Prior to co-founding LOM Financial in 1992, he worked for The Bank of Bermuda Limited in fund management. He is a graduate of the University of Toronto, with a B.A. in Economics. In addition to his duties on LOM’s Board, Mr. Lines is a member of the governing council of the Bermuda Stock Exchange and also sits on the BSX Executive Committee. He is Chairman of Bermuda Management Holdings Limited and Auto Solutions Limited, and serves as Director of St. George’s Group, Masters Limited and Queen Street Holdings Limited.
Malcolm Moseley, ACMA – Executive Vice President and Chief Financial Officer
With over 24 years working within the LOM Group, Malcolm Moseley is Executive Vice President and Chief Financial Officer. He is responsible for all the Group’s external and internal financial reporting, treasury management, daily reconciliation processes and also oversees its Human Resource department. Mr. Moseley sits on the Executive Committee, Credit Committee, Technology Task Force and Charity Committee.
Mr. Moseley previously worked in Bermuda at Johnson & Higgins and in the UK for Office International, a part of the Bricom Group. Mr. Moseley is a member of the Chartered Institute of Management Accountants of the United Kingdom.
Scott Hill – Executive Vice President and Managing Director
Scott Hill is the Managing Director of the LOM Financial Group, and Executive Vice President and Chief Operating Officer of LOM Financial Limited. Mr. Hill oversees LOM’s Trading, Operations and Compliance departments. Mr. Hill serves on the Executive Committee and sits on the Listing and Credit committees.
Prior to joining LOM in 1995, Mr. Hill worked with SEC-registered investment advisory firms in Baltimore and Bermuda, where he held Series 3 and 65 FINRA licenses. He received a B.A. from the University of Virginia in 1988, and did additional graduate work in business at the University of North Carolina at Chapel Hill.
Craig D. Lines – President, LOM Financial (Bahamas) Ltd
Mr. Lines oversees the Group’s international operations and is based in our Nassau, Bahamas office. Prior to joining LOM in 1997 he worked at Canaccord (Genuity) Capital, in trading and corporate finance, and Everest Capital Limited, an institutional hedge fund manager, in operations and risk control. In addition to serving as a Director on the Board of LOM Financial Limited, Mr. Lines also serves as a director on a number of private holding and operating companies.
Mr. Lines holds a B. Comm. degree in Management and Economics from the University of Guelph and has worked in international financial markets for over twenty-three years.
Alexander Goulden, Branch Manager, LOM Financial Cayman
Alexander Goulden is responsible for LOM’s Cayman Islands operations, branch oversight and client relationship management. Alexander previously worked at Maples Finance, Scotiabank & Trust (as Branch Manager and Investment Advisor), and as a director and senior trader with RBC Capital Markets. Prior to RBC Capital Alexander served as Branch Manager, International Investment Advisory, for RBC Dominion Securities (Global) Limited.
Alexander completed a Master of Science in International Securities, Investments and Banking from the University of Reading in 1998 and an BA (Hons) with majors in Economics and Biology from Acadia University, Nova Scotia, Canada. Alex holds professional designations from the Canadian Securities Institute, Financial Industry Regulatory Authority and an Accredited Director designation from the institute of Chartered Secretaries and Administrators Canada.
Alexander continues to serves as a non-executive director to a wide range of alternative investment funds on a selective basis.
Bryan Dooley, CFA – General Manager, LOM Asset Management Limited
Bryan Dooley serves as General Manager and a Portfolio Manager for LOM Asset Management Limited. He is responsible for investment performance on large discretionary portfolios, including the Morningstar 5-star rated LOM Fixed Income Fund. Mr. Dooley’s investment career spans over two decades in investment management and portfolio construction. His leadership roles have included 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.
Throughout his career Mr. Dooley has achieved consistent, documented top quartile investment returns for clients with total portfolios managed valued in excess of a billion dollars.
David Barker – Head of Trading, Global Custody & Clearing Limited
David Barker joined LOM in February 2008 as Head of Trading. With more than 25 years of experience in the international financial industry, Mr. Barker has worked in both the US and Bermuda. Mr. Barker started his career at the Bank of Bermuda and then moved to New York City to work at the Republic National Bank of New York. Mr. Barker has significant accomplishments in the areas of global fixed income, foreign exchange, IR products, futures, derivatives, commodities and global equities.
Cheryl Watts BSc (Hons), FICA, CAMS – Group Compliance Manager
Cheryl Watts joined LOM as Group Compliance Manager in July 2015. She previously spent 8 years with the Colonial Insurance Group, where she was the compliance officer and MLRO for all of Colonial’s Bermuda operations and an overseas subsidiary, and also had oversight over the AML program for all the overseas affiliated companies. Her qualifications include a BSc(Hons) Management with Compliance from the University of Manchester, International Diploma in Compliance, and Diploma in Financial Crime Prevention from the International Compliance Association, and a Certified Anti-Money Laundering Specialist Designation from ACAMS. Prior to joining Colonial, she spent 14 years with the Bermuda Police as a Sergeant/team leader in intelligence, criminal, drug and fraud investigations.
Michael Greaves – Sales Manager, LOM Financial (Bermuda) Ltd
Michael Greaves joined LOM in November 2010. With over 30 years experience in the global financial markets, Mr. Greaves now heads up the Sales Department for the LOM Group. Prior to joining LOM, Mr. Greaves was the Sales Manager at Maitland Group’s Asset Management division and was Senior Vice President at Prudential Bache Securities in London. He has obtained several industry qualifications, including the Series 3, 7, 63 and 65 FINRA licenses in the US.
Zina Jacobs – Operations Manager, Global Custody and Clearing Limited
Zina Jacobs is the Operations Manager for Global Custody and Clearing Limited. GCCL provides custody, administration and securities services to the LOM group as well as a number of external Hedge Funds. As Manager, she is responsible for managerial oversight of the operations functions supporting global settlements, cash management, portfolio accounting and physical vault services. Prior to joining LOM in 1997, Mrs. Jacobs worked at Butterfield Bank.
Justin Cornell – Chief Information Officer, LOM (UK) Limited
Mr. Cornell is based in LOM’s Bristol office and is responsible for LOM’s IT infrastructure. He joined LOM in September 2000 and is responsible for leading the group’s technology strategy along with managing overall IT operations and client support. His initiatives have included the launch of LOM’s online trading application “OPUS” and the continual improvement of IT applications in response to both internal and external requests. Justin moved back to the UK in 2014 to supervise the upgrading of LOM’s IT services from the Bristol office. Justin obtained his GSLC certificate in 2017, and is a 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.
Justin has more than 25 years experience in various IT roles; prior to joining LOM, he was a consultant at Global Asset Management (GAM) in London supporting the London, Dublin and Hong Kong branch offices. In other prior roles, Justin was a business analyst at Cantrade Private Bank and also worked in various IT roles at Natwest Markets in London.