Sean Moran has a diverse background in operational risk, portfolio compliance, and systems implementation, having held various positions in notable companies. They served as an Associate at BlackRock from 2016 to 2019 and are currently the Senior Manager for Trading Risk and Controls at Vanguard. Previously, Sean gained experience as a Senior Analyst in Compliance at UGI Corporation and as a Code Administrator at NeuStar, Inc. They earned a Bachelor of Science in Finance from Virginia Polytechnic Institute and a Doctor of Law from Villanova Law School. Additionally, Sean contributed as a Managing Editor of Operations for the Jeffrey S. Moorad Sports Law Journal during their studies.
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