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Brian Lonto
Director, Investment Compliance at Manulife Investment Management
Brian Lonto is a professional with a wealth of experience in investment compliance and monitoring. Currently, he serves on the Investment Monitoring Team at Manulife Investment Management (US) LLC, where he oversees the Investment Guideline Monitoring Team. Brian possesses comprehensive knowledge of various regulatory bodies and financial regulations including the US Commodity and Futures Trading Commission, the US Securities Exchange Commission, the National Futures Association, the UK Financial Conduct Authority, and others.
Brian Lonto holds a degree in Economics, having studied at Grove City College. His educational background provides a strong foundation for his work in the financial sector.
Throughout his career, Brian has held various key positions at Manulife Investment Management, including roles such as Director of Investment Compliance, Director of Standards & Controls, Manager of Investment Standards & Monitoring, and Senior Investment Compliance Analyst. His experience also extends to roles in global derivatives compliance, solidifying his expertise in navigating complex financial landscapes.
Prior to his tenure at Manulife, Brian gained experience in roles such as Investment Compliance Analyst, Compliance Consultant, and Investment Compliance Contractor. Additionally, he has a background in administrative roles, having worked as an Index Clerk and Records & Inventory Clerk at Cattaraugus County.
Brian Lonto's professional journey showcases his dedication to the financial industry and his proficiency in ensuring compliance with regulatory standards. With a blend of hands-on experience and in-depth knowledge, Brian continues to make significant contributions to the investment monitoring sphere.