Andrew Jones is a seasoned professional with a strong background in compliance and risk management. With experience in various financial institutions such as Northern Trust Corporation, BMO Financial Group, and EY, Andrew has held key roles in ensuring regulatory compliance and managing risk. Their expertise spans across areas including Volcker Rule implementation, CFTC regulations, and compliance risk management. Currently serving as an Associate Director at the National Futures Association, Andrew continues to demonstrate their dedication to the field of compliance and is pursuing further education at Loyola University Chicago School of Law.
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