Ruth Clark is the Vice President and Compliance Officer at Citi, where they focus on ensuring compliance with SEC and FINRA regulations. They have a strong background in regulatory oversight, having previously worked as a Compliance Associate at firms including Brown Brothers Harriman and TIAA-CREF. Ruth has also held roles at TD Securities and the American Stock Exchange, developing extensive expertise in handling regulatory filings and managing compliance processes. They earned a Bachelor of Science degree from Florida State University.
Location
Tampa, United States
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