Daniel Antenor Jr, CAMS, CFCS has a diverse work experience in the financial industry. Daniel started their career at Amundi as an Alternative Investment Database Analyst from 2006 to 2010. Daniel then joined Northeast Securities and served as an Operations Specialist from 2010 to 2014. Daniel was later promoted to Director of AML and Operations Manager, a role they held from 2014 to 2017. Daniel then moved to MassMutual where they worked as a Compliance Officer, focusing on ensuring ethical business conduct and compliance with regulations from 2017 to 2018. Currently, Daniel is with Vanderbilt Financial Group, where they first held the position of Brokerage and Advisory Manager and Alternative Due Diligence Analyst from 2018 to 2020. Daniel then served as the Director of Operations and Alternative Due Diligence Manager from 2020 to 2021. Since 2022, Daniel has been the Chief Operating Officer at Vanderbilt Financial Group.
Daniel Antenor Jr, CAMS, CFCS earned a Bachelor's Degree in Finance, General from St. John's University. Daniel also completed a Master of Business Administration (M.B.A.) with a focus on Finance and Quantitative Modeling from Baruch College. Apart from their formal education, Daniel has obtained several certifications. In 2012, they achieved the Series 99 - Operations Professional certification from the Financial Industry Regulatory Authority (FINRA). In 2013, they obtained the Series 7 - General Securities Representative certification from FINRA. In 2014, they earned the Series 24 - General Securities Principal certification from FINRA. In 2015, Daniel obtained the Certified Anti-Money Laundering Specialist certification from ACAMS and the Series 4 - Registered Options and Securities Futures Principal certification from FINRA. In 2016, they attained the Certified Financial Crimes Specialist certification from the Association of Certified Financial Crime Specialists. In 2017, they achieved the Series 65 - Investment Adviser Law certification from FINRA, and in 2018, they earned the Series 53 - Municipal Securities Principal certification from FINRA. In 2019, they attained the Series 52 - Municipal Securities Representative certification from FINRA, as well as the NYS Life, Accident & Health, Variable Annuity, Variable Life certification from the New York State Department of Financial Services.
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