Todd Young is an experienced professional in the field of compliance and securities regulation, currently serving as a Securities Compliance Examiner with the U.S. Securities and Exchange Commission since August 2022. Prior to this role, Todd was the Deputy Chief Compliance Officer at Loop Capital and held various positions at Greyline as Vice President Compliance, Northern Trust Corporation as Senior Regulatory Consultant/Attorney, and UBS as Associate Director. Todd’s career began at William Blair in Mutual Fund Administration. Academic qualifications include a Doctor of Law (J.D.) from the University of Illinois College of Law, a Master of Science (M.S.) in Accounting from the University of Illinois Chicago, and a Bachelor's Degree in Business Administration and Management from Truman State University.