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Kevin Grant

Chief Compliance Officer at Hovde Group

Kevin Grant has a strong background in compliance and regulatory roles. Kevin most recently worked as the Chief Compliance Officer at Hovde Group beginning in November 2017. Prior to that, they served as an Associate Vice President at FBR from August 2014 to November 2017. Kevin also gained extensive experience at FINRA, where they held various roles including Senior Analyst - Market Regulation and Analyst II- Regulatory Review & Disclosure. During their time at FINRA, they conducted reviews and investigations into possible violations of SEC and FINRA rules and regulations, analyzed and reviewed registration and disclosure forms, and played a key role in developing and implementing department policies and procedures.

Kevin Grant received their Bachelor's degree in Biology from SUNY Geneseo, where they attended from 2001 to 2005. Afterward, they pursued their MBA at the University of Maryland - Robert H. Smith School of Business, specializing in Finance and Corporate Strategy. Kevin obtained their MBA from 2010 to 2013.

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Timeline

  • Chief Compliance Officer

    November, 2017 - present