Steven Niven is an accomplished compliance leader with extensive experience in various financial institutions. Currently serving as the Head of International Compliance at Bloomberg LP since May 2014, Steven oversees compliance programs across APAC and EMEA regions. Prior roles include significant compliance leadership positions at Barclays Investment Bank, where responsibilities encompassed global markets structuring execution compliance and trade surveillance, and at Merrill Lynch, focusing on equity compliance. Early career positions involved market supervision at the London Stock Exchange and oversight of trading pits at the International Petroleum Exchange. Steven holds a BA (Hons) in Accounting & Finance from Liverpool John Moores University.
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