Mark Levin

Chief Compliance Officer at KBRA

Mark Levin has a diverse work experience in the finance industry. Mark started their career as an Associate at S&P Global Ratings, where they worked on the analysis and rating of various securitization transactions. Mark then joined Hunton & Williams, LLP as an Associate, specializing in energy and project finance. Mark later worked at Citi - Global Real Estate Corp., managing a multi-billion dollar portfolio of commercial real estate loans and overseeing securitization and syndication processes. Mark also served as President of a Residential Condominium Board. Mark's most recent role was at Ambac, where they were the First Vice President of Portfolio Management and Workout/Restructuring, overseeing a multi-billion mortgage-backed securities insurance portfolio. Currently, they hold the position of Chief Compliance Officer at KBRA.

Mark Levin has pursued their education at various institutions. Mark obtained a Doctor of Law - JD degree with a concentration in International Business, Regulatory, Business, and Tax from Syracuse University College of Law. Mark also completed a Master of Public Administration - MPA program at Syracuse University's Maxwell School. For their undergraduate studies, they attended Hobart and William Smith Colleges, where they earned a B.A. degree in Political Science & International Relations, focusing on Russia. Additionally, they have studied International Business and the European Union at Copenhagen Business School.

Links

Previous companies

Citigroup logo
Hunton & Williams LLP logo
Ambac Financial Group logo
S&P Global logo

Timeline

  • Chief Compliance Officer

    June, 2022 - present