Ruth Clark

Vice President and Compliance Officer

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


Org chart

No direct reports

Teams

This person is not in any teams


Offices

This person is not in any offices