Nomura
Clark T. serves as Vice President of Corporate Compliance at Nomura since January 2024, focusing on Corporate Advisory Compliance, including Transaction Reporting (MiFID, SFTR, EMIR, CFTC, SEC, and Central Bank), Outsourcing, and CASS. Prior to this role, Clark T. accumulated extensive experience at Credit Suisse from January 1999 to January 2024, holding various titles such as Compliance Officer, Head of SRU Trade Management EMEA, Global Lead FX Trade Management, and Team Lead for FX Middle Office in APAC, among others. During the same period at UBS, Clark T. also served as a Compliance Officer.
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