The Compliance and Risk Management Team at Robinhood focuses on ensuring that the company's operations adhere to legal regulations and industry standards while safeguarding against potential risks. This team is responsible for monitoring compliance with financial regulations, managing fraud prevention strategies, conducting internal audits, and mitigating security threats. By fostering a culture of integrity and trust, they help protect both the company and its customers, ensuring a secure and compliant investing environment.
Daniel Gallagher
Chief Legal Compliance and Cor...
Daniel Vellek
Interim Chief Compliance Offic...
Destry Garcia
Senior Compliance Lead
Erika Dean
CISO
Mariam Ebadi Hashimi
Risk Intelligence Lead
Marina Berhosky
Fraud Investigation Team Lead
Norm Ashkenas
Chief Compliance Officer
Oren Naim
VP & GM, Trust & Safety
Pooja Anand
Head of Internal Audit
Stacie Haugland
Senior AML Investigator