Cabrera Capital Markets
Jeff Worf is an experienced compliance professional with a diverse background in the financial and insurance industries. Currently serving as Chief Compliance Officer at Cabrera Capital Markets LLC since March 2022, Jeff has previously held compliance leadership roles at several organizations, including Nuveen, BMO Financial Group, Guggenheim Partners, and Wells Fargo. Jeff's expertise includes strategic compliance direction, BSA/AML compliance, and regulatory oversight across various financial entities. Educationally, Jeff holds a Master of Business Administration in Finance from the Illinois Institute of Technology and a Bachelor of Arts in English from Lake Forest College.
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Cabrera Capital Markets
Founded in 2001, Cabrera Capital Markets LLC is the leading Latino-owned investment bank and institutional brokerage firm providing investment banking for municipal, corporate, and advisory clients, institutional brokerage services for municipal bonds, global equities, taxable fixed income securities, preferred equities, and structured products, as well as cash management services. Cabrera’s diversified global client base includes corporations, municipalities, financial institutions, federal agencies, unions, pension funds, foundations, and endowments. Cabrera's areas of expertise include: Corporate Investment Banking Capital Markets Corporate Advisory Public Finance Investment Banking Municipal Sales and Trading Global Equities Preferred Equities Taxable Fixed Income Structured Products Cash Management Cabrera is a certified Minority-Owned Business Enterprise (MBE).