Vice President, Trading Compliance
Frank Hayden serves as Vice President of Trading Compliance for Calpine. Mr. Hayden is responsible for
developing a trading compliance framework and market surveillance program for commercial compliance
with CFTC, FERC and RTO jurisdictional transactions. Previously, Mr. Hayden has directed risk management activities for organizations such as BNP Paribas Fortis, Cinergy, UBS and Enron. He has been in the business long enough to have traded natural gas before there was a NYMEX Henry Hub futures contract. His experience includes energy trading, risk management, utility asset management, compliance, risk system design, and data analytics. His career focus has been to enable organizations with a transparent decision making and continuous monitoring framework; increasing the effectiveness of risk management, compliance and capital allocation.
Mr. Hayden is a co-founder of the Professional Risk Manager’s International Association and an Ethics Committee member, is a published author, is a member of the CFTC’s Market Risk Advisory Committee and holds a Masters of Business from theUniversity of St. Thomas with concentrations in Finance and International Business.