Brian Quinn is a seasoned financial professional with thirty-three years of experience in the industry, currently serving as Vice President and Compliance Officer at Citi. Previously, Brian held positions at other notable firms, including Vice President at Bank of America Merrill Lynch and Compliance Examiner at FINRA, demonstrating extensive expertise in market surveillance and regulatory compliance. Brian earned a Bachelor of Business Administration in Finance from Hofstra University and has a strong track record in profitability, client relations, and risk management.
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