Mark Ford has a comprehensive work experience in the financial industry. Mark started their career in 1989 as a Registered Representative at various brokerage firms, where they held different positions such as back office support, trading support, and investment banking. In 2000, they joined ViewTrade Securities, Inc. as a Vice President, Investments and later became the Compliance Officer. From 2011, they served as the Chief Compliance Officer and Anti-Money Laundering Compliance Officer at the same company.
Mark Ford attended the Missouri Institute of Technology from 1981 to 1983, where they studied Electronics Engineering. In addition to their education, they obtained a CAMS Certification from ACAMS in December 2013.
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