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Vincent Quinones
Chief Compliance Officer Cuttone & Co., LLC
Vincent Quinones is a highly experienced professional in the securities industry with an impressive track record spanning over 30 years.
He has dedicated 26 years to being an NYSE Floor Broker and currently holds key positions on the NYSE and the NYSE American Committees for Review.
With over two decades of service in various capacities as an NYSE Official (including roles like Floor Official, Senior Floor Official, Governor, and Executive Floor Official), Vincent brings a wealth of expertise and insights to the table.
He has also contributed his leadership skills as a Director and Officer of the Floor Members Emergency Fund, showcasing his commitment to the industry and its community.
Vincent's extensive expertise is further evidenced by the array of securities licenses he holds, which include 7A, 7, 19, 63, 24, 14, 57, and 99, illustrating his comprehensive knowledge and compliance with industry standards.
For his educational background, Vincent studied Economics/Finance and earned a Bachelor of Arts degree from Rutgers, The State University of New Jersey-New Brunswick, providing him with a solid foundation for his career in the financial sector.
Prior to his current roles, Vincent Quinones served as the Chief Compliance Officer and Senior Managing Director at Drivewealth, institutional, LLC, where he demonstrated his strategic acumen and regulatory understanding.
He also gained valuable experience as a Clerk at Raven Securities, further enhancing his knowledge and skills in the securities industry.