Kevin D. serves as AVP Investment Compliance at State Street since January 2024, following a role as Trade Compliance Officer at Mediolanum Irish Operations from October 2018 to November 2023, where compliance monitoring for UCITS and internal restrictions was overseen. Previous experiences include a contract position at Legal & General Investment Management as a Portfolio Monitoring - Compliance Rules Coder, where investment agreements were reviewed, and compliance matrices were created. Early in Kevin D.’s career, roles at State Street Investment Analytics and SuMi Trust Global Asset Services involved client service and project management for compliance monitoring systems, particularly MIG21. A substantial tenure at State Street provided extensive expertise in investment compliance, including responsibilities for regulatory monitoring and team management across various fund complexities.
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