Brian McIntyre is a finance professional with over 25 years of experience in regulatory compliance, trading, operational and trade risk management, and back-office operations. Currently serving as Vice President of Market Surveillance at Citigroup, Brian focuses on regulatory matters and market surveillance. Previously, they were a Regulatory Compliance Specialist at FINRA, where they monitored market activities to detect potential manipulations and conducted examinations of broker-dealers. Brian also held positions as Vice President at JPMorgan Chase & Co. and Back Office Manager at Wagner Stott.
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