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Tammy Cantrell
Executive Vice President, Asset/Liability Management
 

Cantrell joined Corporate One in 1994. She also serves as a member of Corporate One’s asset/liability committee. Under her management, Cantrell is responsible for optimizing returns in the four investment portfolios, executing investment trades with broker/dealers, recommending investment policy and strategy changes to the Board of Directors, and monitoring market and credit conditions for timely purchase and sale recommendations. She also oversees Corporate One's Lending, Operations and Member Services Departments and is a member of Corporate One’s credit committee.

Cantrell formerly served Corporate One as vice president, asset/liability management and investments for more than four years. Prior to her positions with Corporate One, Cantrell spent 13 years with the School Employees Retirement System of Ohio, where she managed the system’s short-term portfolio and analyzed fixed-income and equity securities. She holds a bachelor’s degree in Finance from Franklin University and has completed Level 1 of the Chartered Financial Analyst certification.

Bob Post
Senior Vice President, Chief Investment Officer
 

As SVP and Chief Investment Officer of the Investment Department at Corporate One, Bob is responsible for managing the both the investment portfolio and on- and off-balance sheet activities. As part of his off-balance sheet activities, Bob manages the Sales and Trading activities and he sources securities that best serve the individual portfolio objectives of our members, which requires working with the nation’s key primary dealers. He is also a member of Corporate One’s asset/liability committee.

Bob has been with the Corporate for 11 years.  Before joining Corporate One, Bob was Vice President of Banc One Capital Markets and also served as Vice President of First USA Capital Markets for 10 years. Bob began his career in financial accounting at Mercantile National Bank in Dallas in 1983 and held various positions there before joining First USA Capital Markets in 1988.  Bob has a bachelor’s degree in Accounting from Pennsylvania State University and currently holds FINRA licenses that include General Securities Representative (Series 7) and Uniform Securities Agent State Law Representative (Series 63).  Central Registration Depository (CRD #®) 1822082. Click here to do a FINRA search.

Jeff Duesler
Senior Investment Services Representative
 

As a Senior Investment Services Representative, Jeff is responsible for developing relationships with the investment decision makers at Corporate One’s member credit unions, providing strategic investment counseling to help each member achieve their respective portfolio goals.

Prior to his role at Corporate One Jeff traded certificates of deposit, structured products, corporate and government agency bonds at a regional broker dealer headquartered in Ohio, and held various positions within the broker dealer arm of a major commercial bank, most recently trading corporate bonds. Jeff has a master’s degree in Financial Economics from Ohio University and a bachelor's degree from The Ohio State University. He holds several FINRA licenses, including General Securities Representative (Series 7), Uniform Securities Agent State Law Representative (Series 63), Equity Trader Limited Representative (Series 55) and Securities Principal Representative (Series 24). CRD# 3193652. Click here to do a FINRA search.

Jeremy Hall
Senior Investment Services Representative
 

As a Registered Representative for Multi-Bank Securities, Jeremy Hall works as part of the Corporate One Investment Services team  as an Investment Sales Representative.  The strategic alliance between Multi-Bank Securities, Inc. and Corporate One allows Jeremy to provide members with superior service and a broad range of investment products, providing both securities-related and non-securities related investments that best serve the individual portfolio objectives of members.

Jeremy began his career in Charlotte, North Carolina with Bank of America.  His responsibilities included territory sales for Bank of America Capital Management’s mutual fund offerings.  For five years subsequent,   he held a similar role at JPMorgan Chase in Columbus, Ohio.  His sales experience includes working with advisors from banks, wire house firms and independent broker dealers.  Just prior to joining Corporate One, Jeremy was an external sales representative for Great American Financial Resources Inc.  He was responsible for wholesaling fixed annuity solutions to Financial Advisors in a three state territory.

Jeremy holds several FINRA licenses including General Securities Representative (Series 7), Uniform Securities Agent State Law Representative (Series 63) and Uniform Registered Investment Advisor (Series 65). Click here to do a FINRA search.

Frederick Snyder
Senior Investment Services Representative
 

Frederick is a Senior Investment Services Representative responsible for building relationships with investment decision makers at Corporate One member credit unions, providing strategic investment counseling to help each member achieve their respective portfolio goals.

Frederick began in the financial services industry with Edward Jones where he managed the Livingston, Montana branch office. He relocated to Columbus, Ohio where he joined Morgan Stanley as a financial advisor and then was promoted to serve as a Business Analyst for the branch. Frederick attended the University of Akron and completed both the bachelor’s and master’s programs in History. He currently holds several FINRA licenses, including General Securities Representative (Series 7), Uniform Securities Agent State Law Representative (Series 63), Uniform Combined State Law Representative (Series 66) and Securities Principal Representative (Series 24). CRD# 4788028. Click here to do a FINRA search.

John Grundy
Investment Services Representative
 

John is an Investment Services Representative responsible for building relationships with investment decision makers at Corporate One member credit unions, providing strategic investment counseling to help each member achieve their respective portfolio goals. John has been in the fixed income industry since 1995, joining Corporate One’s team in 2003.

Prior to his role at Corporate One, John worked as a Financial Planner for John Sestina and Co., where he worked to develop comprehensive financial plans for high net worth investors; BISYS Fund Services, where he sold equity and fixed income mutual funds to financial advisors in the banking channel; and, Olde Discount and Prudential Services, where he worked in equities and fixed income as a Registered Representative to develop asset allocation plans for retail investors. John is a graduate of West Liberty State College, holding a bachelor’s degree in Communications, and has completed classes through Keller Graduate School of Management and the College for Financial Planning. He is registered with FINRA and currently maintains a General Securities Representative (Series 7), General Securities Sales Supervisor (Series 9 and 10) and Uniform Securities Agent State Law Representative (Series 63) licenses. CRD# 2221787. Click here to do a FINRA search.

Shannon VandenBosch
Senior Investment Services Representative
 

Shannon is responsible for providing investment products and solutions to key investment decision makers at member credit unions. She provides a variety of investment offerings to help each member implement their investment strategy and achieve their respective investment portfolio goals.

Shannon began her career in the financial services industry with Northern Trust Bank in Chicago, Illinois, as a fixed-income portfolio management analyst where she assisted portfolio managers with the management of mutual funds and separate accounts to meet client objectives. Shannon later transitioned to the Wealth Management group of Northern Trust, assisting family members and family office executives with achieving financial goals and the preservation of wealth for future generations. Shannon later moved to UBS’s Global Asset Management Group as an institutional account manager, managing institutional fixed income, equity, and balanced account relationships.

Shannon graduated from Northwestern University with a bachelor’s degree in Economics and holds FINRA licenses, including General Securities Representative (Series 7) and the Uniform Combined State Law Representative (Series 66). Click here to do a FINRA search.

Mary Ann Frohnauer
Investment Services Representative

Mary Ann is responsible for partnering with smaller credit unions to identify and secure specific investment products, such as the One Account, Daily Market Account, and SimpliCD solutions, that enable members to meet their portfolio objectives. Mary Ann began her career at Corporate One in 1995 and has supported members in both the Member Experience and Investment areas, continually demonstrating her commitment toward excellent service.