Chuck Zangara is the Vice President and Director of Regulatory Compliance at HSBC, specializing in life insurance law and securities law, with a strong focus on the Investment Company Act and Investment Advisers Act. Previously, Chuck owned Zangara Consulting, providing compliance advice to investment advisers and insurance agents. With extensive experience in the legal and financial sectors, Chuck held positions at ING Group as counsel and Sutherland, Asbill & Brennan LLP as an associate, among others. Chuck earned a BA in Journalism from Rutgers University and a JD from New York Law School.
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