Matthew Duffy, FRM, CIA, PMP, PMI-RMP, CAMS

Chief Risk Officer at Neptune Flood

Matthew Duffy, FRM, CIA, PMP, PMI-RMP, CAMS has a broad work experience. Starting in 2021, they have been the Chief Risk Officer and Director of Risk Management & Internal Audit at Neptune Flood Insurance. From 2016 to 2021, they worked at Bank OZK as the Executive Vice President, Director of Enterprise Technology Solutions, Director of Risk Technology, and VP, GRC Program Manager. From 2013 to 2016, they were the VP, Enterprise Risk Officer, AVP, Risk Specialist, Risk Analyst, and Management Associate at C1 Bank. In 2013, they were a Graduate Intern, Strategic Development at Conversion Partners, Ultimate Medical Academy, a Senior Level Economic Work Scholar at Eckerd College, and a Financial Services Intern at Royal Bank of Scotland. From 2011 to 2013, they were a Senior Level Economics Tutor and Economics Professor's Assistant at Eckerd College. Finally, from 2007 to 2011, they were a Football Player at Carlisle United Football Club.

Matthew Duffy has a Bachelor of Arts (BA) in Economics Major and Finance & Management Minor from Eckerd College which they obtained from 2009 to 2013. Matthew also has a BTEC National in Sport (Performance and Excellence) from Carlisle United Football Club (Education) which they obtained from 2007 to 2009. Additionally, they have an AS Level in Law from Carlisle College which they obtained from 2007 to 2008. Lastly, they have a GCSE in Various from King James' High School which they obtained from 2003 to 2007. Matthew also has several certifications, including a Certified Internal Auditor (CIA) from IIA-The Institute of Internal Auditors which they obtained in March 2022, a Project Management Professional (PMP) from Project Management Institute which they obtained in November 2021, a PMI-RMP\u00ae from Project Management Institute which they obtained in March 2017, an FRM\u00ae from Global Association of Risk Professionals (GARP) which they obtained in January 2016, a CAMS from ACAMS which they obtained in February 2014, an AMLCA from FIBA (Florida International Bankers Association) which they obtained in March 2014, a CCEP from Society of Corporate Compliance and Ethics (SCCE) which they obtained in March 2016, and a Certified Regulatory Compliance Specialist from LexisNexis\u00ae Sheshunoff\u00ae which they obtained in August 2014.

Links

Previous companies

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Peers

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Timeline

  • Chief Risk Officer

    December, 2022 - present

  • Director of Risk Management & Internal Audit

    July, 2021

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