Ryan is the Executive Vice President and Chief Operating Officer of Cayman National Corporation responsible for treasury, operations, information technology, projects, risk management and compliance of the group’s subsidiary banks, trust company, fund administrator and securities brokerage. Previously, Ryan was the Director, Risk responsible for governance, market, credit, liquidity and operational risk of a large Canadian Financial Institution. He was also the Compliance Manager overseeing trust, captive insurance, mutual fund, private banking and security brokerage business lines of another large Canadian financial institutions. He also held the position of Deputy Head of Banking Supervision – Cayman Islands Monetary Authority with direct responsibility for the Basel II implementation in the Cayman Islands and has consulted for financial services companies throughout the Caribbean on AML/CFT and risk management. Ryan holds a B.Sc. (Hons.) in Management and Finance from the University of the West Indies, is a Certified Anti-Money Laundering Specialist and holds the Financial Risk Manager designation from the Global Association of Risk Professionals.