Meet The Team
Michael joined the Fidelity Group as Vice President and Chief Financial Officer in 1987 after spending six years with Price Waterhouse. In 1995 he assisted with the buyout of the Group's banking assets and was appointed Vice President and CFO of the newly formed Fidelity Bank & Trust International Limited. He currently heads up Royal Fidelity’s operations in both The Bahamas and Barbados.
Judy A. Higgs
Vice President and Corporate Secretary
Judy is responsible for the management of Royal Fidelity’s Corporate Services, and is Secretary of Royal Fidelity Merchant Bank & Trust, its subsidiary companies, and its mutual funds. She was Vice President and Corporate Secretary for British American Insurance Group in Nassau for more than 16 years, and brings with her many years of experience in administration, share transfer and corporate services.
Vice President, Mutual Funds and Pensions
Mr. Euteneuer has more than 15 years experience in the financial services industry, most recently with RMF Investment Management (Bahamas), a Swiss fund-of-hedge-funds company. He is Vice President of Royal Fidelity, responsible for Mutual Funds, Pensions, and overall business development.
Manager, Pension Services
Cleora has more than 10 years experience in the Financial Services Industry. In her current role as Manager of Pensions Services she is responsible for all pension-related administration, client relations and compliance issues. She holds an Associate's Degree with a concentration in Finance from the College of the Bahamas and a Bachelor of Commerce Degree in Finance from St. Mary's University, Halifax, Nova Scotia, Canada.
Mr. Wilson has over 30 years of banking experience with Scotiabank, Toronto Dominion Bank and the Royal Bank of Canada, in Canada and the abroad. Until January of 2015, Mr. Wilson served as the Vice President of Corporate & Commercial Banking and Deputy Head at Scotiabank Bahamas and also served as a member of the Board of Directors, acted as the Chairman of the Credit Committee and Deputy Chairman of the Asset & Liabilities Committee. In his early banking career, Mr. Wilson worked in branch banking and internal audit. His 25 plus years in Corporate and Commercial Banking started in Canada in small business lending, followed by Corporate & Commercial Lending to all industry sectors. His last 20 years was in International Corporate & Commercial Banking in several countries with senior roles in Credit Risk, Corporate & Commercial Banking, and Private Banking. He is a well-respected and experienced banker.
Lisalette began her career in the offshore trust business with CIBC Trust (Bahamas) Limited and later moved on to continue at UBS Trustees (Bahamas) Ltd. After obtaining her STEP Diploma and TEP designation, she then obtained her LLB from the University of London, with honors. Lisalette was then subsequently called to The Bahamas Bar in 2011. She later worked in the law firm of Higgs & Johnson as a Trust Attorney prior to beginning her career as Trust Manager at Royal Fidelity Bank & Trust Limited.
Karen joined the company in 2007, working in the brokerage & trading department assisting with execution activities, relationship management, and client advisory services. In her current role as Manager of Investments, she is responsible for managing the portfolios of institutional and high net worth clients. Karen graduated cum laude from Hofstra University in New York, USA, with a Bachelor of Business Administration Degree in Finance and holds the Series 7 certification.
Belinda serves as Manager of the Brokerage & Trading Department, providing client advisory services, with specific focus on the local capital markets. She currently holds the Series 7 certification and is pursuing her Bachelor of Business Administration Degree in Banking and Finance at The College of The Bahamas.
Ms. Lozaique is the Manager of Investment Advisory Services at Royal Fidelity. Her role is to provide direct supervision of a team of financial advisors whose responsibility is the service and expansion of the new and existing client base, by introducing them to the company's products and services and deepening the relationship by offering customized financial counselling.
Ms. Lozaique has successfully completed the Series 7 Certification and is also a Certified Financial Planner. She has spent more than eight years in the international investment industry. Her area of specialty includes mutual fund administration, securities trading and business development. Ms. Lozaique is currently pursuing the Project Management and the ACCA designations.
David W. Slatter, CFA
T 242.397.4551; C 242.424.3051
David Slatter is a CFA Charterholder and holds an MA in Economics. He has over 30 years of experience in financial services and currently manages nearly $700 million in investment assets.
Financial Services Representative
Assistant Securities Trader