Chris Yemma

Vice President, Compliance Officer at Cambridge Trust

Chris Yemma has a diverse work experience starting in 1996 as a Mutual Fund Accountant at Investors Bank & Trust. From there, they went on to work as an Investment Compliance Supervisor at Putnam Investment for almost a decade. In 2006, they transitioned to become an Owner/Broker at Century 21 Oviedo Realty for a couple of years. Following that, Chris worked as an Investment Compliance Specialist at PanAgora Asset Management. Chris then joined BNY Mellon Wealth Management as a Vice President Compliance Officer, where they stayed for five years until 2015. Currently, Chris is serving as Vice President and Compliance Officer at Cambridge Trust Company.

Chris Yemma completed their Bachelor of Business Administration (B.B.A.) degree in Finance from the University of Massachusetts Lowell in 1996.

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Timeline

  • Vice President, Compliance Officer

    November, 2015 - present

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