Freddie Mac 2010 Annual Report Download - page 299

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operating officer of the Residential Finance Group, where he led servicing operations, risk management, and strategic
sourcing. Prior to that, Mr. Renzi held several executive positions at GMAC Mortgage including executive vice president,
senior vice president of client branded solutions, vice president of loan administration and senior loan counselor.
Raymond G. Romano was appointed Executive Vice President — Chief Credit Officer in April 2009. Prior to this
appointment, he served as our Senior Vice President — Chief Credit Officer from December 2008 until March 2009 and as
acting Chief Credit Officer from September 2008 until December 2008. Before being appointed Chief Credit Officer,
Mr. Romano served as Senior Vice President — Credit Risk Oversight, a position he held since March 2004. Prior to that,
Mr. Romano served as Senior Vice President and Chief Credit Risk Officer and held other executive positions at different
major financial institutions, including North American Mortgage Company in Tampa, Dime Savings Bank of NY, and with
Citicorp’s Investment Bank.
Jerry Weiss was appointed Executive Vice President Chief Administrative Officer & Chief Compliance Officer in
August 2010. In this role, Mr. Weiss is responsible for managing the Human Resources and External Relations functions and
leads the Compliance, Regulatory Affairs, and Mission organizations. He also serves as Chief Compliance Officer. Prior to
that he served as our Senior Vice President Compliance, Regulatory Affairs and Mission, and Chief Compliance Officer
from April 2009 until July 2010. Mr. Weiss served as Senior Vice President — Compliance and Regulatory Affairs and Chief
Compliance Officer from April 2008 until April 2009. Prior to this appointment, Mr. Weiss served as our Senior Vice
President and Chief Compliance Officer since joining us in October 2003. Prior to joining us, Mr. Weiss worked from 1990
at Merrill Lynch Investment Managers, most recently as First Vice President and Global Head of Compliance. From 1982 to
1990, Mr. Weiss was with a national law practice in Washington, D.C., where he specialized in securities regulation and
corporate finance matters.
Paige H. Wisdom was appointed Executive Vice President — Chief Enterprise Risk Officer in October 2010. Prior to
this she served as our Senior Vice President Chief Enterprise Risk Officer from April 2010 until October 2010. Prior to
this appointment, she served as the Senior Vice President — Business Unit Chief Financial Officer from January 2008
through March 2010. From August 2004 until December 2007, Ms. Wisdom served as a Business Unit Chief Financial
Officer at Bank of America for key businesses including Global Business and Financial Services; Business, Lending, and
Global Technology; and Service and Fulfillment. Prior to joining Bank of America, Ms. Wisdom served at Bank One
Corporation/JP Morgan from June 2000 until July 2004, most recently as the Chief Financial Officer, Corporate Bank. Prior
to that she served in leadership positions with increasing responsibilities at UBS/Warburg Dillon Read, Citibank Salomon
Smith Barney, and Swiss Bank Corporation/SBC Warburg Dillon Read.
Timothy F. Kenny was appointed Senior Vice President — General Auditor in July 2008. Prior to this appointment,
Mr. Kenny served as Vice President and Interim General Auditor starting in May 2008. Before that, he served as our Vice
President, Assistant General Auditor from September 2007 to May 2008. From 2001 to 2007, Mr. Kenny was a Managing
Director with BearingPoint, Inc. (formerly KPMG Consulting, Inc.) where he directed a large team of financial professionals
on a variety of financial risk management consulting projects with Ginnie Mae, the Federal Housing Administration, private
sector mortgage bankers and other federal credit agencies. He was appointed a member of the BearingPoint, Inc. 401(k) Plan
Committee in 2004 and served as a member until his resignation in 2007. He joined KPMG LLP, the predecessor
organization to KPMG Consulting, in 1986, was promoted to a KPMG Audit Partner in 1997, and served in that position
until the separation of KPMG Consulting from KPMG LLP in February 2001.
Robert D. Mailloux was appointed Senior Vice President — Corporate Controller & Principal Accounting Officer in
April 2010. Prior to holding his current position, Mr. Mailloux served as our Vice President — Acting Corporate Controller
beginning in October 2008. Prior to that appointment, he served as Vice President Corporate and Multifamily Business
Segment Controller, from May 2008 until October 2008, and as Vice President — Corporate Financial Accounting from
September 2004 until May 2008. Before that, Mr. Mailloux held the position of Director — Corporate Reporting and
Analysis from March 2002 until September 2004. Before joining us, Mr. Mailloux served for 12 years at a leading
accounting firm, where he managed a variety of large audit and consulting engagements in the financial services and real
estate industries.
Hollis S. McLoughlin was appointed Senior Vice President — External Relations in September 2008. Prior to that he
served as Senior Vice President — External Relations and Chief of Staff from April 2008 until September 2008. Prior to this
appointment, Mr. McLoughlin served as our Senior Vice President, External Relations starting in January 2006. He also
served as Senior Vice President and Chief of Staff from April 2004 to January 2006. During the period from 1998 until
2004, Mr. McLoughlin was Chief Operating Officer of two private equity-backed operating companies. Before that, he was
one of the founding partners of Darby Overseas, a private equity partnership based in Washington, D.C. He also has been a
senior executive at Purolator Courier, an overnight delivery company, and a privately held transportation company.
Mr. McLoughlin served from 1989 through 1992 as assistant secretary of the Treasury under President George Bush, where
296 Freddie Mac