Timothy J. Cox has extensive work experience in the finance industry. Timothy J. is currently serving as the Managing Director Co-Head Debt Capital Markets at Telsey Advisory Group since April 2022. Prior to this, they held the position of Executive Director at Mizuho Corporate Bank from February 2008 to February 2022.
Before joining Mizuho Corporate Bank, Timothy worked as a Managing Director Fixed Income at RBC from June 2005 to September 2007. Timothy J. also served in the role of Managing Director Floating Rate Notes Trading & Origination at ABN AMRO Bank N.V. from 2001 to 2004.
In addition, Timothy has worked at Prudential Financial as a Senior Vice President from September 1995 to January 2001. Timothy J. held the position of Senior Director Fixed Income at Credit Suisse from April 1993 to June 1995, where they were involved in the origination, trading, and sales of corporate structured notes as a Co-Head of Floating Rate Note origination, trading, and sales.
Prior to their role at Credit Suisse, Timothy worked as a Senior Vice President at SMITH BARNEY from March 1990 to April 1993. Timothy J. started their career at Lehman Brothers in March 1981, where they held the position of Senior Director in the Fixed Income Department until February 1990.
Throughout their career, Timothy J. Cox has gained extensive expertise in various aspects of the finance industry, specifically in fixed income, debt capital markets, floating rate notes trading and origination, and structured products.
Timothy J. Cox holds a Bachelor of Arts degree in Political Economy from Stony Brook University. Timothy J. also attended Saint Peter's High School for their secondary education. In addition, they pursued further studies at the W.A. Harriman School for Management & Policy, which is a graduate program in Business and Management at Stony Brook University, specializing in Regional Economic Infrastructure Planning & Development.
In terms of certifications, Timothy J. Cox obtained the FINRA SERIES 24 certification from FINRA in September 2016. Timothy J. also acquired the Series 63 certification from FINRA in February 1995, and the Finra Series 7 certification in February 1994.
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