Gregory D'Antona

Senior Vice President, Chief Risk Management Officer, Compliance Officer & CRA Officer at StonehamBank

Gregory D'Antona has had an extensive career in risk management and compliance. Gregory started their career at State Street as an Auditor, where they audited various business units and analyzed data to ensure compliance with internal policies and regulatory requirements. Gregory then moved on to become a Senior Auditor, planning and executing audit assignments based on the COSO Enterprise Risk Management-Integrated Framework.

Gregory later joined BISYS Hedge Fund Services as an Account Manager, where they managed client relationships and supervised a team of accountants. Following this, D'Antona returned to State Street as a Senior Fund Accountant and Pricing Specialist, assisting with the start-up procedures of a new mutual fund group and reviewing books of accounts for managed mutual funds.

In 2013, D'Antona joined National Grand Bank of Marblehead as a Compliance/BSA Officer, developing and administering compliance programs to ensure the bank's adherence to laws and regulations. Gregory also provided information and guidance to bank management on compliance changes.

Currently, D'Antona is employed at StonehamBank, where they have held various senior-level roles in risk management and compliance. Gregory has been responsible for managing the risk management program, implementing policies and procedures, and ensuring compliance with laws and regulations. D'Antona also serves as the Chief Risk Management Officer and CRA Officer at StonehamBank.

Gregory D'Antona has a Bachelor of Business Administration degree in Finance from Stonehill College, which they obtained from 1997 to 2001. Before attending college, they completed their high school education at Boston College High School from 1993 to 1997. Prior to that, they attended East Boston Central Catholic from 1985 to 1993.

In addition to their formal education, Gregory also holds several certifications. In 2013, they became a Certified Anti-Money Laundering Specialist (CAMS) through ACAMS. In 2016, they obtained the Certified Regulatory Compliance Manager (CRCM) certification from the American Bankers Association. In 2018, they earned the Certified Enterprise Risk Professional (CERP) certification, also from the American Bankers Association. In 2019, Gregory received the ACAMS Artificial Intelligence for Financial Services Certificate from ACAMS. Most recently, in 2023, they became a Community Reinvestment Act Certified Professional (CRACP) through CRA Today. Additionally, they hold a CrossFit Level 1 Trainer (CF-L1 Trainer) certification from CrossFit, Inc., obtained in 2017.

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Timeline

  • Senior Vice President, Chief Risk Management Officer, Compliance Officer & CRA Officer

    November 1, 2023 - present

  • Senior Vice President Chief Risk Management Officer CRA Officer

    February, 2022

  • Senior Vice President Chief Risk Management Officer

    May, 2021

  • Senior Vice President Risk Management Officer

    October, 2020

  • Senior Vice President Risk Management Officer Compliance Officer At Stonehambank

    May, 2018

  • Vice President Risk Management Officer Compliance Officer Information Security Officer

    February, 2015