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    Michael Boyd

    Chief Compliance Officer

    Professional Background

    Michael Boyd boasts an impressive and multifaceted career in the finance and compliance industry. With an extensive background primarily centered on managing compliance efforts for broker-dealers, Michael has demonstrated his expertise through a wide range of responsibilities. His hands-on experience encompasses everything from navigating the entire Financial Industry Regulatory Authority (FINRA) membership process to expertly handling inspections and managing Central Registration Depository (CRD) filings. Michael's role extends to continuous monitoring of communications within firms and addressing various regulatory inquiries, highlighting his proficiency in managing complex compliance frameworks.

    Over the years, Michael has gained significant experience working with diverse financial products, including equity, futures, options, and various derivative instruments. His keen eye for regulatory compliance ensures that firms adhere to both new and existing regulations, such as the Dodd-Frank Act. Michael's expertise in performing market surveillance, approving employee trading activities, and establishing compliance departments from the ground up underlines his dedication to fostering a culture of integrity within financial institutions.

    Beyond compliance, Michael also possesses a robust background in investment banking and municipal finance, enriching his understanding of the broader financial landscape. His ability to intertwine compliance with business interests exemplifies his strategic mindset and commitment to empowering organizations to thrive in a regulated environment.

    Education and Achievements

    Michael's academic journey is distinguished by his attendance at esteemed institutions. He began his education at The Buckley School in New York City, where he laid the foundation for future academic successes. He then advanced to RFHRHS for his college preparatory studies, further sharpening his skills and broadening his horizons. Michael's dedication to learning led him to the United States Naval Academy, where he pursued a Bachelor of Science in Engineering, fortifying his analytical and problem-solving abilities. Additionally, Michael's formative experiences at the Naval Academy Preparatory School undoubtedly contributed to his development as a leader and team player.

    Career Highlights

    Michael's career trajectory includes several key roles that highlight his adaptability and leadership skills. Currently, he serves as the Chief Compliance Officer and Head of Veteran's Engagement at Academy Securities, Inc., where he plays a vital role in shaping compliance strategy and fostering inclusivity for veteran employees in the financial sector. Prior to this role, he worked at Labrador USA as a Sales professional, where he honed his skills in client relationship management and financial sales.

    Michael's tenure as Managing Director of Sales and Trading at MLV showcased his expertise in several facets of the trading landscape, enabling him to create impactful synergies between sales and compliance. His experience as a Sales Trader at Kabrik Trading allowed him to further refine his trading and strategic capabilities, managing complex transactions with a focus on regulatory compliance.

    Before these positions, Michael successfully served as Chief Compliance Officer at Davis Securities, where he reinforced the compliance framework and ensured adherence to industry standards. He also contributed to the financial markets as a Sales/Trader at CJM Securities and as a Consultant, offering insights that underline his strong analytical skills and market knowledge. His journey through various roles culminated in experience as Head Trader at Thales Fund Management and multifaceted positions within the United States Navy, demonstrating his commitment to excellence throughout.

    Through his extensive experiences and knowledge, Michael Boyd has positioned himself as an invaluable asset in the finance and compliance domain. His leadership, alongside his dedication to regulatory adherence, empowers organizations to operate with integrity and flourish within competitive markets.

    Related Questions

    How did Michael Boyd navigate the complexities of the FINRA membership process in his role as Chief Compliance Officer?
    What strategies has Michael Boyd implemented to successfully manage compliance efforts in a fast-paced trading environment?
    In what ways has Michael Boyd's background in engineering contributed to his effectiveness in compliance and finance?
    How does Michael Boyd integrate his expertise in investment banking with his compliance responsibilities at Academy Securities, Inc.?
    Can you share examples of how Michael Boyd has fostered a culture of compliance within the organizations he has led?
    Michael Boyd
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    Location

    New York, New York, United States