State Street Investment Management
Brian Harris has over 25 years of experience in compliance and regulatory oversight within the financial industry. Currently serving as the Chief Compliance Officer at State Street Global Advisors since June 2013, roles include Adviser Chief Compliance Officer and Canada Chief Compliance Officer. Previously, Brian held the position of Director, GWIM Compliance Executive at BofA Global Capital Management, where responsibilities included overseeing compliance programs and regulatory requirements. Earlier experience includes directorship roles at AARP Financial and reporting and compliance management at State Street and IBT. Brian started their career as a Senior Auditor at KPMG Audit, following a Bachelor of Science in Business Administration with a focus on Accounting from Merrimack College.
This person is not in the org chart
This person is not in any teams
State Street Investment Management
33 followers
At State Street Investment Management, we have been delivering better outcomes to institutions, financial intermediaries, and investors for nearly half a century. Starting with our early innovations in indexing and ETFs, our rigorous approach continues to be driven by market-tested expertise and a relentless commitment to those we serve. With over $4 trillion in assets managed1, clients in over 60 countries, and a global network of strategic partners, we use our scale to create a comprehensive and cost-effective suite of investment solutions that help investors get wherever they want to go.