2002 -
2005 Senior Vice President – Capital Markets Compliance - Equities @
Steven Kansky Education
Stockton University
Bachelor of Arts (B.A.) (Finance, General)
Steven Kansky Skills
Risk Management
Dodd-Frank
Financial Risk
Capital Markets
Hedge Funds
Securities
Trading Systems
Asset Management
Alternative Investments
AML
Equities
Private Equity
Trading
Fixed Income
FINRA
Series 7
Investments
Derivatives
Due Diligence
KYC
Financial Markets
Asset Managment
Compliance
Securities Regulation
Investment Management
Options
Financial Services
Series 63
Investment Advisory
Prime Brokerage
Mutual Funds
Electronic Trading
Series 24
Anti Money Laundering
Management
Bloomberg
SEC
Fiduciary
Market
Corrective Actions
Nasd
Lapsed
Insurance
Arrangements
Vendors
Sales
Net
Finance
Institutional Sales
Restrictions
Oversight
Arbitrage
Violations
Internal Communications
Singapore
Legal
Law Enforcement
Private Investments
Regulatory Compliance
C Level
Search
Real Estate Transactions
Design
Short
Security
Funding
Citigroup
Alternative Dispute Resolution
Integration
Metrics
Rules
Circumstances
Proxy Voting
Monitors
Compliance Training
Regulators
Compliance Support
Human Resources
Exams
Execution
OTC
Valuation
Sell Side
Pios
System
Telecommunications
Cell
Asia
Nyse
Fund of Funds
Reports
Flat Patterning
Trading Desk
Technologists
Purchased
Sold
Palantir
Automated Trading
Strategies
Acquisitions
Microsoft Excel
Training
Policy
Supervisory
Traders
Portfolio Managers
Research
System Monitoring
Reporting
Crisis
Venture Capital
Investigation
Quantitative Investing
Surveillance
Analysis
Written
Jersey
Coordination
Related Matters
Implications
Applications
Chinese
Data Analysis
Sales Practices
Business Development
Communication
Best Execution
Advertising
Regulatory Requirements
Operations
Suite
General Securities Principal
Opportunistic
Public Companies
Big Data
Project Planning
Measurements
Market Share
Layering
Covering
Pricing
Mediation
Responsibility
Internal Audit
Policies and Procedures
Regulations
International
Conflicts
Art
Intelligence
Google Groups
Marketing Materials
Executive Management
Facts
New York
Administering
Reviews
Government
Disclosure
Global Management
Guidelines
Buy Side
Case Management
Proposal Writing
Proprietary Trading
Internal Controls
Special Projects
Asset
Registrations
Risk
Broad Experience
Meetings
Convertible
Mergers and Acquisitions
Market Structure
Dodd Frank
Recruiting
Evaluation
Coordinated
Selling
Dealers
Steven Kansky Summary
Steven Kansky, based in New York, NY, US, is currently a Senior Managing Director, Regulatory and Compliance at IQ-EQ. Steven Kansky brings experience from previous roles at FrontLine Compliance, LLC, Point72 Asset Management, L.P. and Citi. Steven Kansky holds a Bachelor of Arts (B.A.) in Finance, General @ Stockton University. With a robust skill set that includes Risk Management, Dodd-Frank, Financial Risk, Capital Markets, Hedge Funds and more. Steven Kansky has 2 emails and 1 mobile phone numbers on RocketReach.
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