Charles Coletta has more than 20 years of executive banking and capital markets experience working with federal agencies, commercial banks, community banks, independent mortgage banks, and other industry entities. He has appeared in national print and broadcast media outlets, including CNBC’s Money Club and BARRON’s, as well as published periodicals such as Bank & Asset Liability Magazine and House & Home. Coletta holds an MBA (Concentration in Financial Engineering and Risk Management) from Virginia Tech and a Bachelor of Arts in Violin Performance from the University of Cincinnati College of Conservatory Music.
Coletta’s contributions to the company’s stability and well-being are vast and wide, with a central emphasis on all things capital markets. In this business, capital markets are akin to the central nervous system and affect every aspect of the mortgage banking body. Since assuming his role as Executive Vice President of Investment Strategy, Coletta has put his sharply honed skills to work creating sophisticated price/elasticity models, automation lock desk modeling, interest rate risk modeling, and dozens of other financial, product, and pipeline-level advancement initiatives. His strengths in hedging, trading, pricing complex interest rate derivatives, and applied forecasting and optimization are vital to keeping the company healthy and robust. As we continue to experience growth and success, his addition to the executive team has been game-changing.
Name:
Charles Coletta
Title:
Executive Vice President, Investment Strategy
Company Name:
American Financial Network