Nordea
Daniel Bruk is an experienced compliance professional with a robust background in the financial services industry. Currently serving as SVP and Chief Compliance Officer at Nordea Securities LLC since May 2019, Daniel oversees all broker-dealer compliance matters, regulatory examinations, and internal audits while ensuring adherence to SEC and FINRA regulations. Prior roles include Chief Compliance Officer at Torino Capital LLC, where responsibilities encompassed compliance for fixed income sales and trading, and Director of Markets Compliance at Commerzbank AG, leading a team focused on capital markets and investment banking compliance. Daniel's extensive career also includes positions at Dresdner Kleinwort, RBS, Family Management Corporation, and FINRA, where expertise was developed in various compliance and regulatory functions. Daniel holds a Bachelor’s degree in Finance from Michigan State University and an MBA from Adelphi University.
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