Andrea Joyce Wagner. Areas of Expertise

Similar documents
LISA ROTH MONAHAN & ROTH, LLC 630 FIRST AVENUE SAN DIEGO, CA 92101

The Three Lines of Defense: Risk Management Supervision, Compliance and Internal Audit Monday, May 21 3:00 p.m. 4:00 p.m.

Supervision of Outside Business Activities (OBAs) and Private Securities Transactions Wednesday, November 9 3:30 p.m. 4:30 p.m.

Common Examination Findings and Effective Compliance Practices (Medium and Large Firm Focus) Wednesday, May 17 10:00 a.m. 11:00 a.m.

Outside Business Activities Reviews, Approval and Monitoring Wednesday, November 11 3:30 p.m. 4:30 p.m.

Regulatory Inspections, Examinations, Reviews and Compliance Practices Wednesday, December 2 2:00 p.m. 3:00 p.m.

Outside Business Activities (OBAs) and Private Securities Transactions (PSTs) Thursday, November 8 1:45 p.m. 2:45 p.m.

Lessons Learned by Experienced CEOs of Broker-Dealers Thursday, November 12 10:15 a.m. 11:15 a.m.

Candidate Profile Form District Committee Election Joel Glasco

In the Matter of the Association of Alfred G. Block (CRD # ) with Buckman, Buckman & Reid, Inc. (CRD # 23407)

Fixed Income Sales and Trading: Current Issues Tuesday, May 22 11:15 a.m. 12:15 p.m.

Ask FINRA Staff Wednesday, December 2 4:30 p.m. 5:30 p.m.

Understanding the Basics of the Examination Process (B2BC) Tuesday, May 16 11:15 a.m. 12:15 p.m.

Ask the Regulator and Industry Experts Thursday, September 14 3:30 p.m. 4:30 p.m.

Creating an Effective Records Management and Retention Program (B2BC Track) Tuesday, May 22 3:00 p.m. 4:00 p.m.

Mark-Up Disclosure Requirements Thursday, September 14 2:15 p.m. 3:15 p.m.

Shell Trading Gas and Power Company General Manager Regulatory Affairs, December 2, 2002 to Present

Lynn E. Turner Managing Director

Banking & securities accounting and reporting update

2015 Real Estate Industry Update A landscape for change: Transforming for the future

Social Media and Digital Communications Tuesday, May 22 3:00 p.m. 4:00 p.m.

Membership Application Program (MAP) Wednesday, May 23 9:45 a.m. 10:45 a.m.

SPEAKERS A S H A B A N G A L O R E

Effective Processes for Suspicious Activity Monitoring and Investigations (AML Track) Tuesday, May 22 3:00 p.m. 4:00 p.m.

WHO WE SERVE. Regulators Business and Law Schools. Executives and Staff Job Seekers & Students

Chartwell Introduction and AEC Capabilities

2015 Real Estate Industry Update A landscape for change: Transforming for the future

Small Business Investment Companies

2015 Real Estate Industry Update A landscape for change: Transforming for the future

MR. SCOTT A. BARNES, CPA, CFF, CGMA

Viking Advisory Group. Company Presentation September 2011

Steve Hamilton, J.D., CLU, ChFC Director, Advanced Consulting Group Nationwide

GRAY EQUITY MANAGEMENT LLC 150 ROYALL STREET, SUITE 102 CANTON, MA (781) (781)

New York Bar admission (or eligibility to obtain admission promptly) is required.

Form ADV Part 2B Individual Disclosure Brochure. Alyssa Rakovich AIF

2015 Real Estate Industry Update A landscape for change: Transforming for the future

Morowitz Gaming Advisors, LLC presents GAMES. Gaming Management Executive Series

Supplement to Form ADV Part 2 Form ADV Part 2B

Mara H. Rogers, Partner Norton Rose Fulbright

Election Notice. Notice of Election and Ballots for FINRA Small Firm NAC Member Seat. October 16, Ballots Due: November 15, 2018

Claudia H. Allen. Partner Chicago. p Practices. Recognition. Education. Selected Experience

Bios. James R. Kruse. Richard Best

First Southern Securities, LLC Credentials

GLOBAL RISK AND INVESTIGATIONS JAPAN CAPABILITY STATEMENT

Teresa V. Pahl Partner

Trevor Holsinger Aspen Wealth Management, Inc.

BROCHURE SUPPLEMENTS (ADV PART 2B)

Smith A. Brownlie III, CPA

MOODY S CORPORATION (Exact Name of Registrant as Specified in Charter)

David J. Adams

Smith A. Brownlie III, CPA

Why trot when you can gallop? 8 questions to ask broker-dealers when considering independence.

The Haas Group at Morgan Stanley Smith Barney

Plenary Session III: Dispelling Myths around the FINRA Board Monday, May 21 4:15 p.m. 5:15 p.m.

Candidate Profile Form District Committee Election Kelly Anderson

Management Bios. Michael P. Norcio, Chairman and CEO

Election Notice. Notice of Election and Ballots for FINRA Small Firm NAC Member Seat. October 20, Ballots Due: November 20, 2017

Huffman - Weber Group at Morgan Stanley Smith Barney. Success on your Terms Personalized Financial Strategies

Design Thinking Workshop Friday, October 6 11:00 a.m. 12:00 p.m.

FS INVESTMENTS & KKR FORM STRATEGIC PARTNERSHIP. Combining FSIC & CCT platforms to create stockholder value

EXAMINATION NUMBER ONLY.

THE GOLDMAN SACHS GROUP, INC.

Dean Capital Management, LLC

MCPI Annual Conference Tuesday, September 19, 2017

NASD OFFICE OF HEARING OFFICERS

Spencer McGowan. McGowan Group Asset Management, Inc. 200 Crescent Court, Suite #657 Dallas, TX 75201

Cavco Industries Annouces Executive Leadership Changes

The Smalley Berman Group at Morgan Stanley Smith Barney

EQUITY STRUCTURES FOR HIGH GROWTH ENTREPRENEURIAL VENTURES

Experiences Shared and Lessons Learned on Successfully Selling or Transferring a Business

The Chimerakis Group at Morgan Stanley. Simplicity. Strength. Teamwork.

Kerry T. Scarlott. 1 of 5 4/1/13 4:13 PM. Overview. Boston 400 Atlantic Avenue Boston, MA

Course Name: Financial Executives Roundtable

VIRTU FINANCIAL, INC.

Challenging Times: Sustaining Your Business While Waiting for Financing. January 14, 2009

Headline Verdana Bold

Zak Investment Management Company, LLC. Brochure Supplement Dated April 26, 2011

NEW YORK MARITIME FINANCE

TABLE OF CONTENTS PROGRAM FACULTY PARTICIPANTS FACULTY BIOGRAPHIES STUDY MATERIALS

Election Notice. Notice of Annual Meeting of FINRA Firms and Proxy. July 23, Summary. Suggested Routing. Executive Representatives

Christopher D. Lonn. Member. Overview

BRUKER CORP FORM 8-K. (Current report filing) Filed 06/07/12 for the Period Ending 06/04/12

Dai-ichi Life Announces Changes to Directors as of October 1, 2016

SANTANDER CONSUMER USA HOLDINGS INC.

Membership of the Independent Expert Oversight Advisory Committee

Kenneth L. Bachman, Jr.

TENOR CAPITAL PARTNERS. ESOP Leveraged Buyout Specialist,

Additional information about Turner Investments, L.P. is available on the SEC s website at

W H AT W E D O SPONSORS. Contents INVESTMENT TERMS SENIOR MANAGEMENT

PRINCIPAL FINANCIAL GROUP, INC. (Exact name of registrant as specified in its charter)

Internal Governance within the Banking Industry: Issues and Developments MALTA April 2013

The Harbor Financial Group at Morgan Stanley. Boca Raton, Florida

Outreach Seminar for Compliance Professionals: Investment Advisers and Investment Funds. Tuesday 15 July 2014

Deloitte s 2017 Real Estate Industry Update Optimizing opportunity in an ever-changing environment

Batya F. Forsyth Partner

The Tribeca Group at Morgan Stanley Smith Barney

Clarke B. Nelson, CPA, ABV, CFF, CGMA, MBA Senior Managing Director & Founder InFact Experts LLC

B i o g r a p h y Steven M. Egna Steven M. Egna

Part 2B of Form ADV Brochure Supplement

BROWN & BROWN, INC. FORM 8-K. (Current report filing) Filed 02/21/14 for the Period Ending 02/17/14

Transcription:

Andrea Joyce Wagner Actively involved in the securities industry since the early 1980's. Former Executive Vice President, Director of Compliance, Member Executive Management Committee, Risk Management Committee and Research Analyst Committee for affiliated NYSE and NASD broker dealers. Areas of Expertise Compliance Hiring and Firing Practices Operations Risk Management Advertising Branch Audits / Branch Office Structure and Procedures Clearing Firm Compliance with Trading Rules and Regulations Continuing Education Investment Advisory IRA's Written Supervisory Manuals / Compliance Manuals New Accounts Margin Options Processing, Reporting and Resolving Customer Complaints Restricted Securities Registration Department Research Department Compliance Syndicate Compliance Suitability Unauthorized Trading Excessive Turnover Misrepresentation Selling Away and Private Security Transactions Failure to Supervise Experience January 2002 formed ARC Management Group, LLC a full service litigation consulting firm. In July 2002, formed ARC Analytics, LLC specializing in the analysis of customer statements in securities related cases. Services include Securities and Litigation Consulting, Expert Witness Testimony, Analysis of broker dealer statements and documents and preparation of damage reports, pro forma, asset

allocation and special reports with testimony on these Analyses. June 2001 through December 2001: Managing Director, Director of Sales Supervision for First Union Securities Financial Network, Inc. January 2001 through June 2001: Managing Director, Director of Compliance,Compliance Registered Options Principal for First Union Securities Financial Network, Inc. November 1985 until December 31, 2000 : Executive Vice President, Director of Compliance, Compliance Registered Options Principal and Member Risk Management Committee and Research Analyst Committee, Allied Member of the NYSE for the JW Genesis Financial Corp. affiliated NYSE and NASD broker dealers until its acquisition by First Union Corp. in January 2001. Advised Chairman and Management Committee on firm acquisitions and strategies. Integrated transition of acquisitions both retail and institutional into our firm and to the new clearing firm in 1998, 1999, 2000 and 2001. Professional Licenses held through January 2004 Series 7 - General Securities Representative - 1983 Series 63 - Uniform Securities Agent - 1984 Series 24 - General Securities Principal - 1984 Series 8 - NYSE Branch Office Manager/ NASD General Securities Sales Supervisor - 1991 Series 4 - Registered Options Principal - 1984 Series 27 - Financial and Operations Principal - 1986 Series 14 - NYSE Compliance Official - 1992 Professional Associations, Seminars and Speaking Events 1999 and 2000, SIA Self Regulation and Supervisory Committee 1999, Crystal Slipper Award, Woman Executive of the Year - Palm Beach County Member - National Association of Compliance Professionals Moderator of seminars of industry professionals Speaker Nationwide at Compliance Seminars 2003 Speaker PIABA conference 2003-2004 Author of articles on various Compliance Issues Community Service 1997 and 1998 - Board of Directors - Aid to Victims of Domestic Abuse (AVDA) 1999 - Advisory Board - Aid to Victims of Domestic Abuse (AVDA) 06.01.2005

Coletta L. Dorado Actively involved in the securities industry for over 25 years, primarily in Senior Equity Trading Positions and Executive Management Positions. From 1985 until 2001, Executive Vice President, Director of Equity Trading at JWGenesis Securities, Inc., a NYSE member firm and its affiliated broker dealers. Responsibilities Included: Head Trader market maker in securities that traded in the NASDAQ National Market System, Small Cap and Bulletin Board Market Place. Served on the firm's Executive Committee and Management Committee, responsible for the development and implementation of the policies and procedures utilized by all areas of the affiliated NYSE and NASD firms owned by the parent company. Oversaw and executed the day-to-day activities of the firm's institutional, retail, and trading operations, executed Block Trades, 144 Sales, Restricted Securities. Established trading procedures and implemented trading systems to handle and to monitor order flow from all affiliated firms for order execution on all exchanges and market places. Implemented Trading Rules and Regulations mandated by the NYSE, NASD, SEC, and other regulatory agencies. Implemented risk management procedures and compliance procedures, to supervise trading personnel and trading activity among the affiliated NYSE and NASD firms owned by the parent company. Front Line monitoring of order flow activity for red flags. Assisted in: Case Analysis and Case Preparation, Branch Audits, Customer Complaints, Margin Procedures, Option Procedures, Processing and Executing Restricted Securities, and Syndicate Compliance working with the Compliance Department and In House Legal Staff. Structured the Syndicate Department, coordinated with the Compliance Department in implementing all of the compliance rules and regulations required by the various regulatory agencies. Strategic Member of the Investment Banking Committee which reviewed analyzed and decided which private placements, initial public offerings and other types of financing were to be handled by the firm. Experience January 2002 formed a securities consulting firm ARC Management Group, LLC, a fullservice litigation consulting firm. In July 2002, formed ARC Analytics, LLC, a firm that

specializes in the analysis of securities related cases. Services include Securities Consulting, Expert Witness Testimony, Analysis of Securities Cases, and Testifying to the Numbers. January 2001 through July 2001 Managing Director, First Union Securities Financial Network, Inc. December 1985 through December 2000 Executive Vice President, Syndicate Manager, Director of Equity Trading for Corporate Securities Group, Inc. which changed its name in 1998 to JWGenesis Financial Services, Inc. In January of 2001 the parent company, JWGenesis Financial Corp. was acquired by First Union Corporation and the name was changed to First Union Securities Financial Network, Inc. From December 1985 until December 31, 2000 - Executive Vice President, Syndicate Manager, Director of Equity Trading for the affiliated broker dealers: JWGenesis Securities, Inc. member NYSE and NASD; JWGenesis Clearing Corp., member NYSE and NASD (sold to Fiserv Corp. in November 1999); DMG Securities, Inc., member NASD; JWGenesis Financial Group, Inc. member NASD. From July 1976 until November 1985 Series 7 licensed, General Securities Representative at various NASD and NYSE Broker Dealers. Obtained Series 24 license, General Securities Principal License in 1984. Professional Licenses held during Industry Career Series 7 - General Securities Representative 1976 Series 63 - Uniform Securities Agent 1980 Series 24 - General Securities Principal 1984 Series 55 - Equity Trader - 1999 Professional Associations, Seminars and Speaking Events, Articles 2003 and 2004, Co-author Articles on Various Compliance Issues 2002, Member of Security Traders Association (National) - Trading Issues Committee 2001 and 2002, Panelist, NASD Institute for Professional Development (Surveillance and Sales and Trading Practices issues) 1999 to 2001, President, Security Traders Association of Florida 1999 to 2001, Member, Knight Trading Group, Customer Advisory Committee 1990 to 2002, Board Member Security Traders Association of Florida 1990 to 1999, Panelist, NASD District 7 Seminars on Sales Practice Issues

1985 to 2001, Moderator/Panelist, Security Traders Association of Florida (Best Execution, Decimalization, Oats, Trading Practices, Order Routing and Disclosure, Rules 11ac1-5 and 11ac1-6). Education 1976 - State University of New York at Buffalo, Bachelor of Arts School of Management 1996 through 2001 NASD Continuing Education Program: Insider Trading, Institutional Suitability and Sales Practices, Equities. Additional Training 2005 - NASD Arbitrator Panel Member Training Program, Boca Raton 2005 - NASD Civility in Arbitration, Boca Raton 2005 - NASD Your Duty to Disclose 2005 - NASD Discovery, Abuses and Sanctions 2005 - NASD Expungement 2006 - NASD Direct Communication Rule 2006- NASD Understanding the Prehearing Stage Community Service 2004 to present - Eucharistic Minister Holy Cross Church, Vero Beach 2004 to present Youth in Action, Indian River County Updated January, 2006