Freddie Mac 2014 Annual Report Download - page 254

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249 Freddie Mac
Vice President and Chief Financial Officer beginning in June 2011, after serving as Interim Chief Financial Officer from April
2010. Mr. Mackey joined Ally Financial in March 2009 as Group Vice President and Senior Finance Executive. Previously, Mr.
Mackey served as Chief Financial Officer for the Corporate Investments, Corporate Treasury and Private Equity divisions at
Bank of America Corporation, a financial services firm, from 2007 to 2009.
David M. Brickman was appointed Executive Vice President — Multifamily in February 2014 and prior to that served as
our Senior Vice President — Multifamily since July 2011. In these roles, he has been responsible for overall management of our
Multifamily business line. From June 2011 until July 2011, he served as Senior Vice President — Multifamily Commercial
Mortgage-Backed Security Capital Markets. From March 2004 until June 2011, he served as Vice President in charge of various
units responsible for Multifamily Capital Markets. In his previous roles at Freddie Mac, Mr. Brickman led the multifamily
pricing, costing and research teams, was responsible for the development and implementation of new quantitative pricing
models and financial risk analysis frameworks for all multifamily programs, and designed several of Freddie Mac’s multifamily
financing products, including the Capital Markets Execution and the K-Deal Securitization Program. Prior to joining Freddie
Mac in 1999, Mr. Brickman co-led the Mortgage Finance and Credit Analysis group in the consulting practice at
PricewaterhouseCoopers LLP.
Michael T. Hutchins was appointed Executive Vice President — Investments and Capital Markets in January 2015 and
prior to that served as Senior Vice President — Investments and Capital Markets from July 2013. Previously, Mr. Hutchins was
Co-Founder and Chief Executive Officer of PrinceRidge, a financial services firm. Prior to PrinceRidge, he was with UBS
from 1996-2007, holding a variety of positions, including the Global Head of the Fixed Income Rates & Currencies Group.
Prior to UBS, Mr. Hutchins worked at Salomon Brothers from 1986 - 1996, where he held a number of management positions,
including Co-Head of Fixed Income Capital Markets.
David B. Lowman was appointed Executive Vice President — Single-Family Business in May 2013. In addition, since
November 2014 he has served as a member of the Board of Managers of Common Securitization Solutions, LLC. Previously,
Mr. Lowman served as a Senior Advisor to The Boston Consulting Group. Prior to that, he was the Chief Executive Officer of
Chase Home Lending from 2006 to 2011. Before Chase Home Lending, he spent a decade in senior leadership roles in various
lending businesses of Citigroup, including head of CitiMortgage and Citicorp Trust Bank, FSB. Before joining Citigroup, Mr.
Lowman spent 11 years at The Prudential Home Mortgage Company, Inc. in progressively senior leadership roles. He started
his career at KPMG where his clients included banks, thrifts and mortgage bankers.
Robert Lux was appointed Executive Vice President – Chief Information Officer in January 2015 and prior to that served
as Senior Vice President – Chief Information Officer from October 2010. Prior to joining Freddie Mac, from 2008 to 2010,
Mr. Lux served as a Principal at Towers Watson, a leading global professional services company, where he was responsible for
leading teams on three continents in the delivery of commercial risk modeling applications for the insurance industry. From
2003 to 2008, Mr. Lux held a series of positions with increasing responsibilities, including service as the Chief Architect for
GMAC Financial Services and Chief Technology Officer for GMAC Residential Capital. Prior to that, he held information
technology leadership positions at Electronic Data Systems and Reuters Group PLC.
William H. McDavid was appointed Executive Vice President — General Counsel and Corporate Secretary in July 2012.
Previously, Mr. McDavid was Co-General Counsel of JPMorgan Chase from 2004 until his retirement in 2006, and was General
Counsel of JPMorgan Chase from 2000 to 2004. Prior to that, he was General Counsel of various predecessors to JPMorgan
Chase, including The Chase Manhattan Corporation from 1996 to 2000 and Chemical Banking Corporation from 1988 to 1996.
From 1981 to 1988, he was an Associate General Counsel at Bankers Trust Company, and from 1972 to 1981 he was an
attorney with the law firm of Debevoise & Plimpton.
Jerry Weiss was appointed Executive Vice President — Chief Administrative Officer in August 2010. In this role,
Mr. Weiss manages the services and operations of Freddie Mac’s External Relations, including Government and Industry
Relations; Public Relations and Corporate Marketing; Internal Communications; Conservatorship and Corporate Strategic
Initiatives; Enterprise Project Management; Making Home Affordable — Compliance; Office of the Chief Economist;
Corporate Services; and Strategic Sourcing and Procurement organizations. In addition, since November 2014 he has served as
a member of the Board of Managers of Common Securitization Solutions, LLC. For a period subsequent to his appointment as
Executive Vice President — Chief Administrative Officer, he also served as our Chief Compliance Officer from August 2010
until June 2011. Prior to August 2010, Mr. Weiss served as our Senior Vice President and Chief Compliance Officer and in
various other senior management capacities 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.
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
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