Vincent Molinari

Founder & CEO at FINTECH.TV

Vincent Molinari has a diverse work experience spanning over several roles and companies. Vincent is the Founder & CEO of FINTECH.TV, a media company focused on digital assets and legislative issues in the fintech space. Vincent is also the Co-Founder & Executive Vice-Chair of the Blockchain Commission for Sustainable Development, which aims to utilize blockchain-based technologies for global solutions.

Furthermore, Molinari is a Founding Board Member of SDG Impact Fund, where they contribute to the development of sustainable development goals. Vincent serves as a Digital Assets Board Member at the Center for Capital Markets Competitiveness at U.S. Chamber of Commerce.

Molinari co-founded Templum, Inc. and served as its Co-Founder and later as CEO, President & Chief Compliance Officer. Vincent also founded and chaired 5th Element Group PBC, focusing on impact investing. Earlier in their career, Molinari co-founded Gate Global Impact, LLC, where they served as CEO and Chairman, working towards creating market infrastructure and bringing transparency to the alternative asset markets.

Before that, they served as the CEO of Global Access Holdings and Burlington Capital Markets. Molinari started their career as a Financial Advisor at Janney Montgomery Scott LLC.

Throughout their career, Molinari has been a thought leader in the investment industry, advocating for impact investing and crowdfunding. Vincent has received various awards and served in several leadership and correspondent roles.

Overall, Vincent Molinari has a strong background in the fintech, blockchain, impact investing, and alternative asset markets, with a focus on sustainability and global solutions.

Vincent Molinari completed their Bachelor of Business Administration (BBA) in International Business from Hofstra University, graduating in 1988. Prior to that, they attended St. Francis Preparatory School from 1980 to 1984. In terms of additional certifications, Vincent obtained the following qualifications from FINRA: Series 14 Compliance Officer in October 2018, Series 82 Private Securities Offering Representative in May 2016, Series 99 Operations Professional in August 2015, Series 24 Private Securities Offerings Principal in July 1998, Series 24 - General Securities Principal Examination in June 1996, Series 7 - General Securities Representative Examination in September 1988, and Series 63 - Uniform Securities Agent State Law Examination in September 1988.

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