Yulia Kalk is a highly motivated compliance professional with over 25 years of experience, including more than 15 years as Chief Compliance Officer for FINRA broker-dealers and SEC Registered Investment Advisers. Yulia's expertise encompasses private fund compliance, broker-dealer compliance, fintech, and investment banking. They have provided compliance consulting services to a wide array of investment firms for the past decade. Currently, Yulia serves as the Director of Compliance Consulting at Kroll.
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