Lou Milano

Chief Compliance Officer at SMArtX Advisory Solutions

Lou Milano provides SMArtX with more than 40-years of experience in the securities industry guiding compliance efforts for Fortune 500 corporations and firms including Prudential-Bache Securities, Citicorp, Daiwa Securities, and Cabot Lodge. As Chief Compliance Officer for SMArtX, Mr. Milano is also responsible for overseeing and managing all day-to-day regulatory compliance issues for, HedgeCo Securities, an affiliated broker dealer.

Mr. Milano joins the SMArtX team after spending the past ten-years building a robust compliance program for Natixis North America. Before Natixis, Mr. Milano managed an equities broker dealer for KBC. Mr. Milano started his career at the NYSE, and worked as an Options Inspector for the AMEX. Mr. Milano was recently accepted to the FINRA Arbitrator program. He holds Series 3, 4, 5, 7,14,15, 24, and 79 Securities licenses. Mr. Milano earned a Paralegal Degree from New York University and his Bachelor of Arts Degree from Marist College.

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Timeline

  • Chief Compliance Officer

    February, 2014 - present