Business Overdrafts
Be financially flexible with a business overdraft.
Serving financial needs of large corporate & institutional clients in North America, who have strong links to the UK.
In North America our business provides a client-oriented approach for businesses with strong links to the UK. Through our network of relationship managers, and by working closely with our Head Office, we offer sound local US and UK knowledge and support our clients on their businesses and the solutions they need to secure growth and manage risk.
CEO, Country Head – North America
William (Bill) Mansfield joined as CEO & Country Head of Lloyds Bank North America in May 2024.
Bill has extensive financial markets experience having most recently been CEO of MUFG Securities Americas and Regional Head of Global Markets for MUFG.
Prior to that Bill has worked with a number of other financial institutions in New York with a responsibility of servicing Corporate and Institutional clients.
Bill graduated from the University of Missouri, Columbia.
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Managing Director, Head of Corporate Coverage and Institutional Coverage
Our Debt solutions group consists of Product Specialists who specialise in specific debt product sectors. Our US teams work closely with teams in the UK to provide product insight and experience alongside tailored solutions to help our clients finance their operations and support their growth operations. Our specialist teams in Debt Solutions include Infrastructure & Project Finance, Loan Markets and Trade & Working Capital.
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Managing Director, Head of US Capital Markets
President Lloyds Securities, Inc
Our US Capital Markets team offers access to a valuable pool of additional liquidity through the capital markets to provide our financial institutions and corporate clients with access to supplemental debt funding through our specialisation in bonds and securitisation, together with the associated risk management.
Securities services in the US are provided by Lloyds Securities Inc., a registered broker-dealer and member of FINRA/SIPC.
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Managing Director, Interim Head of Financial Markets
Head of Prudential Liquidity Management
The US Financial Markets team offers Foreign Exchange, Short-Term Interest Rate (STIR), Money Market and Fixed Income Credit products to support our global clients. Our trading experts and sales teams face the market with a variety of products managing risk, liquidity and credit while seeking optimum pricing and execution to provide our clients with seamless access to the global markets.
Securities services in the US are provided by Lloyds Securities Inc., a registered broker-dealer and member of FINRA/SIPC.
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Managing Director, Head of Corporate Coverage and Institutional Coverage
Our Corporate and Institutional Coverage teams consist of Relationship Managers who specialise in specific client sectors. Our US teams work closely with teams in the UK to provide industry insight and experience alongside tailored solutions to help our clients manage their risk and support their growth aspirations. Our specialist teams in Corporate Coverage include: Infrastructure, Energy and Industrials, Consumer & Technology and Services & Public Sector. Our Specialist teams in Institutional Coverage include Financial Sponsors, Insurance, Banks & Specialist Finance and Asset & Wealth Managers.
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Lloyds Bank Corporate Markets North America provides banking and securities products and services to Corporate and Institutional clients based in North America. Fixed income securities products are offered and traded through our SEC registered U.S. broker-dealer, Lloyds Securities Inc. Lloyds Securities Inc. is a member of FINRA/SIPC.
The products and services outlined on this site may be offered by legal entities from across Lloyds Banking Group, including Lloyds Bank plc, Lloyds Bank Corporate Markets plc and Lloyds Securities Inc. Lloyds Bank plc, Lloyds Bank Corporate Markets plc and Lloyds Securities Inc are separate legal entities within the Lloyds Banking Group.
Lloyds Securities Inc. is a wholly-owned subsidiary of Lloyds Bank Corporate Markets plc. Lloyds Securities Inc. has its registered office at 3 Bryant Park, 1095 Avenue of the Americas, New York NY 10036. Lloyds Securities is registered with the Securities and Exchange Commission (SEC) and is a member of the Financial Industry Regulatory Authority (FINRA). Securities products are not insured by FDIC and are subject to investment risks.
Check the background of Lloyds Securities Inc. on FINRA's BrokerCheck.