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Shay Deverell

Head Of Systematic Trading Compliance & Associate Regulatory Counsel at Citadel Securities

Shay Deverell has extensive work experience in the legal and compliance fields. They have held various roles at different companies, starting in 2010 as a Legal Assistant at the Law Offices of Carl Lamb & Associates. They then worked as a Legal Intern at Drew Elesh & Associates, LLC before becoming a Legal Intern at The Law Offices of Richard Dvorak in 2011. In 2012, Shay worked as a Law Clerk at the Law Offices of Russell C. Green.

Their experience continued in 2013 with roles as an Extern at the Chicago Stock Exchange and a Law Clerk at Kamerlink, Stark, McCormack & Powers, LLC. Shay also had a role as a Law Clerk at Ziliak Law, LLC.

In 2014, Shay joined the Financial Industry Regulatory Authority (FINRA) as an Intern and later became a Regulatory Analyst. They then moved on to BMO Financial Group in 2015, where they worked as a Compliance Team Lead.

Since 2016, Shay has been working at Citadel Securities. They started as a Compliance Associate and later became Assistant General Counsel & Compliance Manager. Currently, Shay holds the position of Head of Equities Compliance & Associate Regulatory Counsel.

Overall, Shay's work experience demonstrates their expertise in compliance and their progression from various legal roles to their current leadership position at Citadel Securities.

Shay Deverell completed their education as follows:

- From 2012 to 2015, Shay attended Loyola University Chicago School of Law and obtained a Juris Doctor degree in Law.

- From 2008 to 2012, Shay studied at Indiana University and completed a Bachelor of Science (B.S.) degree with Honors in Public Finance.

- Shay completed their high school education at William Fremd High School from 2004 to 2008, but no specific degree or field of study is mentioned.

In addition to their formal education, Shay has obtained several certifications, including:

- In September 2020, they completed the "SQL For Data Science" certification from Coursera.

- In March 2019, they obtained the "Series 24" certification from FINRA (Financial Industry Regulatory Authority).

- In November 2018, Shay obtained the "Series 57" certification from FINRA.

- In September 2018, they completed the "Securities Industry Essentials (SIE)" certification from FINRA.

- In November 2015, Shay acquired the "Illinois Law License" from the Illinois Board of Admissions to the Bar.

Links

Timeline

  • Head Of Systematic Trading Compliance & Associate Regulatory Counsel

    October 1, 2023 - present

  • Head Of Equities Compliance Associate Regulatory Counsel

    December, 2022

  • Assistant General Counsel Compliance Manager

    February, 2019

  • Compliance Associate

    August, 2016

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