Contact info
  • General Enquiries:

    Info@Oaklawncap.com

  • Compliance:

    Compliance@Oaklawncap.com

  • Settlements:

    Settlements@Oaklawncap.com

  • US Office:

    362 W 46th St,
    New York, NY 10036,
    United States

  • UK Office:

    93 Gloucester Place ,
    London W1U 6JG,
    United Kingdom

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Leadership &
Investment Expertise:
The Team Behind Oaklawn Capital

Our Team

Leadership Driving
our Investment Strategy

- Head of Fixed Income Investment

With over two decades of front-office experience in fixed income portfolio management and financial credit trading, Jay leads the investment strategy at Oaklawn Capital Management.

He began his career at Allied Irish Banks before progressing to senior trading and treasury roles at Sachsen LB and Helaba, where he built and managed large-scale financial and Yankee bond portfolios. Most recently, he led financial credit at Lindisfarne Partners.

At Oaklawn Capital, Jay oversees all fixed income investments, focusing on relative value opportunities across global credit markets. He has built a unique skill set in financial credit, having had seats at all sides of the table: treasury (issuance), sell side (market making) and buy side (portfolio management and prop trading). Jay is also a well-known, dedicated proponent of floating-rate note (FRN) markets.

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Our Team

Leadership Driving
our Investment Strategy

- Head of Fixed Income Investment

With over two decades of front-office experience in fixed income portfolio management and financial credit trading, Jay leads the investment strategy at Oaklawn Capital Management.

He began his career at Allied Irish Banks before progressing to senior trading and treasury roles at Sachsen LB and Helaba, where he built and managed large-scale financial and Yankee bond portfolios. Most recently, he led financial credit at Lindisfarne Partners.

At Oaklawn Capital, Jay oversees all fixed income investments, focusing on relative value opportunities across global credit markets. He has built a unique skill set in financial credit, having had seats at all sides of the table: treasury (issuance), sell side (market making) and buy side (portfolio management and prop trading). Jay is also a well-known, dedicated proponent of floating-rate note (FRN) markets.

- Portfolio Manager, Securitized Product

mo headshot 2

Mohammed "Mo" Noorali is a Structured Finance specialist with over two decades of experience across trading, capital markets, and securitization. He has held senior roles at sell-side institutions, including Bank of America Merrill Lynch, Nomura Securities, and GFI Group, and has co-founded and led capital markets functions at boutique broker-dealers.

More recently, Mo has served as PM and managed the Structured Products book at Investment Management firms, as well as leading Capital Markets and Securitization efforts at Private Equity firms.

Throughout his career, Mo has actively traded ABS, RMBS, and CMBS, consistently building new business lines, capital markets strategies, and trading infrastructure from the ground up.

Management and
Operational Expertise

Bringing together expertise across investment management, structured credit, and operational oversight.

200 +
Projects Completed

- Chief Compliance Officer / Sole Director

Walter oversees all compliance, governance, and regulatory frameworks, ensuring the firm operates within a disciplined and fully compliant environment. 

He has over 35 years compliance experience including working with Nasdaq/NASD, Instinet, MFGlobal and several RIA firms spanning the US, APAC and UK regions.

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Reach out

Strategically Located
within Global Credit
Markets

With experience across international institutions and markets,
the team is well-positioned to navigate evolving credit environments
and identify opportunities across currencies, instruments, and geographies.