If you need more lookups,
subscriptions start at $34 USD/month.
Brian Quinn Location
New York, NY, US
Brian Quinn Work
2017 -now Vice President: Compliance Officer @
2015 -2016 Vice President: Market Surveillance and Monitoring Specialist @
2014 -2015 Compliance Examiner, TFCE @
2010 -2013 DMM @ Getco LLC /KCG LLC
2000 -2010 Specialist @
1987 -2000 Specialist Broker @ Robb Peck McCooey
Brian Quinn Education
Hofstra University
bba (finance)
1983-1987
Archbishop Molloy High School 1979-1983
St Clares
Brian Quinn Skills
Series 7
Series 55
Equity Trading
FINRA
Equities
Electronic Trading
Securities
Trading
Trading Systems
Financial Markets
Hedge Funds
Trading Strategies
Equity Derivatives
Bloomberg
Asset Management
Options
ETFs
Financial Services
Equity Research
Series 63
Proprietary Trading
Investments
Risk Management
Fixed Income
Capital Markets
Market Data
Derivatives
Market Making
Bloomberg Terminal
FX trading
Hedging
Prime Brokerage
Middle Office
FX Options
Quantitative Finance
Portfolio Management
Structured Products
Investment Banking
Emerging Markets
Investor Relations
Series 24
Commodity
Alternative Investments
Swaps
Market Risk
Traders
Bonds
Low Latency
High Frequency Trading
Market Structure
Account Management
Real Estate
Sales
Surveillance
Planning
Customer Service
Strategic Planning
Client Relations
Brian Quinn Summary
Brian Quinn, based in New York, NY, US, is currently a Vice President: Compliance Officer at Citi. Brian Quinn brings experience from previous roles at Bank of America Merrill Lynch, FINRA, Getco LLC /KCG LLC and LaBranche & Co.. Brian Quinn holds a 1983 - 1987 bba in finance @ Hofstra University. With a robust skill set that includes Series 7, Series 55, Equity Trading, FINRA, Equities and more. Brian Quinn has 3 emails and 4 mobile phone numbers on RocketReach.
Looking for a different Brian Quinn?
Find contact details for 700 million professionals.