The Regulatory and Compliance team at FINRA is responsible for overseeing the integrity of the broker-dealer industry by ensuring adherence to regulatory standards and best practices. This team conducts investigations, manages member supervision, and provides guidance on disclosure and market activities to protect investors and maintain fair market practices. Additionally, they oversee dispute resolution and govern data management to bolster regulatory compliance across the organization.
Anukool Rege
SVP, Data Management & Governa...
Derek Linden
EVP, Registration & Disclosure
Gene DeMaio
Head of Regulatory Services
Greg Ruppert
EVP, Member Supervision
Heather Seidel
Chief Counsel
Lori Walsh
VP & Deputy Chief Economist
Maureen Delaney
SVP & Chief Hearing Officer
Ornella Bergeron
SVP, Member Supervision
Richard Berry
EVP & Director, Dispute Resolu...
Steven Price
SVP, Market Investigations