Daniel Overmyer is an experienced finance professional with a robust background in options regulation and compliance. Currently serving as Vice President of Options Regulation at Cboe Global Markets since November 2015, Overmyer is also a member of the Business Conduct Committee. Previous roles include Chief Compliance Officer at IMC Financial Markets and membership positions on the Ethics and Business Conduct Committee at NYSE and the Business Conduct Committee at ISE Holdings. Overmyer began their career as Chief Investigator at the Chicago Board Options Exchange and has worked as a derivatives trader and designated post market maker at various firms. In addition to extensive professional experience, Overmyer has earned several academic credentials, including an Executive Certificate from Harvard Law School and a certified regulatory and compliance professional designation from The Wharton School, along with an MBA in Finance and a B.S. in Finance from Saint Xavier University and Quincy University, respectively.
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