Becci Sollosy

Senior Regulatory Compliance Professional at Compliance Risk Concepts (CRC)

Rebecca Sollosy is a Senior Compliance Consultant at Compliance Risk Concepts (CRC). Previously, Rebecca held positions such as Principal and Vice President at Owl Rock Capital, Consultant at ACA Compliance Group, and AVP, Compliance at Permal Group. Rebecca's experience also includes roles such as Compliance Manager at Columbia Management, Compliance Officer at Russell Investments, and Compliance Oversight Leader at Putnam Investments. Rebecca's educational background includes a B.S. in Marketing and International Business from Quinnipiac University, and Rebecca is currently an MBA candidate at Fitchburg State University.

Location

Boston, United States

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Compliance Risk Concepts (CRC)

To meet rigorous regulatory expectations and requirements, it is imperative that organizations have access to “best in class” talent that has extensive knowledge of the businesses being supported. CRC is staffed with a team of Compliance Risk Management industry professionals that have a proven track record of establishing comprehensive Compliance Risk Management Programs throughout many industry verticals. We offer compliance consulting services in the following industries: Financial Services Anti-Corruption & Ethics Technology Industry Compliance Enterprise Compliance Risk Management Research Supervisory Analyst Expert Witness Service Financial Operational Principal Services With headquarters in New York, NY, and offices in Chicago, IL, and Westport, CT, CRC is your full-service Compliance Risk Management support partner. Please feel free to contact us with any questions related to the services and solutions described and we would be happy to schedule a call / meeting to further determine your individualized needs and requirements. CRC specializes in executing and overseeing the following: New Member Applications | Continuing Member Applications | Annual CEO Certifications | Independent AML Reviews | Conflict of Interest Reviews | Expert Witness Testimony | 15c3-5 Certifications | MCDC Oversight | Trading Surveillance | Best Execution Analysis | Swap Dealer BCP Independent Reviews | Investment Advisor Gap Analysis | Industry Surveys/Studies | Public Speaking Engagements | Written Supervisory Reviews | Regulatory Relations | Examinations | Dodd-Frank | Volcker Rule | Broker Dealer Compliance | Sales Practice | Bank Compliance | System Implementations | Equity and Fixed Income Markets | Research | BSA / AML | Regulatory Reporting


Employees

11-50

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