Tom Lloyd has extensive work experience in the legal and compliance fields. Tom began their career in 1995 as a Senior Counsel at the United States Securities and Exchange Commission, where they worked for two years. Tom then moved on to become an Enforcement Counsel at NASD Regulation (now FINRA) from 1997 to 1999. In 1999, they joined Deutsche Bank Securities as a Managing Director and stayed with the company until 2005. Since 2005, they have served as the General Counsel and Chief Compliance Officer at Campbell and Company.
Tom Lloyd attended the University of Maryland, where they obtained a degree in Economics. After their undergraduate studies, they enrolled at the University of Baltimore School of Law, but details about their degree or field of study are not available.
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