RBC Capital Markets
Paul Carlesimo has extensive experience in compliance within the financial sector. Since September 2011, Paul has served as Chief Compliance Officer and Head of U.S. Markets Compliance at RBC Capital Markets. Prior to this role, Paul worked as a Compliance Examiner at FINRA from January 2007 to August 2011, where valuable expertise in regulatory oversight was cultivated.
This person is not in any teams
This person is not in any offices