Guy Calo

Compliance Director

Guy Calo is a seasoned compliance director and regulatory attorney with extensive experience in financial institutions and broker-dealer compliance. Currently serving as the Compliance Director at S&P Global, Guy has previously held leadership roles, including U.S. Regional Compliance Officer and SEC Designated Compliance Officer at DBRS, Inc. With a legal background that includes positions as a senior litigation attorney and principal examiner at FINRA, Guy is skilled in developing compliance programs, risk management frameworks, and managing regulatory examinations. Guy earned an MBA in Accounting from Fordham University, a J.D. from Villanova University School of Law, and a B.A. in Psychology from Long Island University.

Location

New York, United States

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