Colin Robinson

Managing Director, Compliance Director, Swap Dealer Chief Compliance Officer at State Street

Colin Robinson has a diverse work experience in the financial services industry spanning over 20 years. Colin started their career as a Distressed Debt Securities Specialist at Bondholder Communications Group in 1996 and worked there until 2002. From 2002 to 2007, Colin worked as a Legal & Business Affairs Manager at GBR Information Services. Colin then joined UBS Financial Services as an Operations Compliance Consultant from 2007 to 2008. In 2008, Colin joined Southern California Edison as a Compliance Manager, focusing on energy commodities regulatory compliance, and stayed there until 2011. From 2011 to 2016, they held various roles at different companies, including Vice President - Commodities & Futures Compliance Officer at Wells Fargo, Vice President, Derivatives Compliance at BNY Mellon, and Senior Front Office Controls Officer at BNY Mellon. Finally, Colin joined State Street in 2016 as a Managing Director, Compliance Director, and Swap Dealer Chief Compliance Officer.

Colin Robinson holds a Bachelor of Arts degree in Economics & Political Science from the University of Rochester. Colin also obtained a Juris Doctor (JD) degree from the Boston University School of Law. Additionally, Colin is a member of the New York state Bar.

Links

Previous companies

Wells Fargo logo
BNY Mellon logo
UBS logo

Timeline

  • Managing Director, Compliance Director, Swap Dealer Chief Compliance Officer

    August, 2016 - present

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