The Compliance and Regulatory Analysis team at Jennison Associates ensures adherence to legal standards and internal policies governing investment practices. This multidisciplinary group monitors regulatory changes, conducts risk assessments, and collaborates with investment professionals to safeguard client interests and maintain the firm's reputation. By providing expert guidance and oversight, they help facilitate compliant and effective investment strategies across the firm's diverse asset management offerings.
Beata Markowicz
Vice President - Director Of I...
Jose Flores
Senior Vice President, Head Of...
Najoua Moussalim
Senior Associate - Investment ...
Shannon Bianchini
Vice President Compliance
Siobhan Griffin
Legal Analyst Manager
Stephanie Willis
Chief Compliance Officer
Tiffany Montesdeoca
Vice President, Director Of Ta...
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