Brian Reisbeck, CAMS

Chief Compliance Officer at Coinme

Brian Reisbeck, CAMS has extensive work experience in the compliance and financial industry.

Brian is currently the Chief Compliance Officer at Coinme, a position they have held since February 2022.

Previously, Brian worked at Binance.US as the Chief Compliance Officer and BSA Officer, where they managed compliance and risk teams of over 30 individuals. Brian implemented and continuously improved the firm's AML program and drafted department policies and procedures. Brian ensured Binance.US complied with all relevant laws and regulations during a rapidly changing environment. Brian held this role from September 2019 to October 2021.

Prior to joining Binance.US, they served as the BSA/AML Compliance Officer and Senior Compliance & Controls Officer at Robinhood. In this role, they implemented and supervised the firm's enterprise-wide anti-money laundering and compliance programs. Brian collaborated with regulatory bodies, law enforcement, and counterparties to combat illegal activities such as money laundering, fraud, and cybercrimes. Brian held this position from August 2016 to December 2018.

From July 2015 to August 2016, Brian worked as the Senior Compliance Manager at Foothill Securities, Inc. (Acquired by Securities America). In this role, they oversaw all aspects of the BD/RIA compliance department and acted as the AML Compliance Officer, Surveillance Officer, and KYC/KYE officer. Brian managed external branch audits, created the firm's AML Compliance Manual and testing procedures, and implemented risk-based AML/CFT controls.

Earlier in their career, Brian worked at King Wealth Planning, Inc. as an Operations and Client Service Manager from October 2013 to July 2015. Brian also worked as an Investment Consultant at Scottrade from March 2009 to February 2013, providing customer service and executing trades for clients.

Brian's work experience also includes roles at Yahoo! Inc as a Search Analyst, Greater Bay Bancorp as a Client Services Associate (Contract), First Capital Mortgage Corp as a Broker Direct Sales Manager, and Lehman Brothers as a Broker Direct Client Manager. In these positions, they developed client relationships, ensured client retention, collaborated with underwriters, and handled various responsibilities related to the financial industry.

Overall, Brian Reisbeck, CAMS has a strong background in compliance and risk management, and their work experience demonstrates their expertise in implementing and overseeing AML programs in the financial industry.

Brian Reisbeck completed their Masters degree in Business Administration from Colorado State University from 2009 to 2012. In addition to their degree, they obtained several certifications throughout their career. These certifications include CAMS (Certified Anti-Money Laundering Specialist) from ACAMS in March 2016, Series 24 from FINRA in August 2013, Series 66 from FINRA in June 2001, and Series 7 from FINRA in June 2001. It is not specified when they obtained the Series 57 certification or from which institution.

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Previous companies

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Timeline

  • Chief Compliance Officer

    February, 2022 - present

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