Emerging FinTech Trends (FinTech Track) Tuesday, May 22 10:00 a.m. 11:00 a.m.

Similar documents
Emerging FinTech Trends (FinTech Track) Monday, May 21 3:00 p.m. 4:00 p.m.

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

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

Candidate Profile Form District Committee Election Kelly Anderson

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

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

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

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

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

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

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

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

Candidate Profile Form District Committee Election Joel Glasco

Supplement to Form ADV Part 2 Form ADV Part 2B

Headline Verdana Bold

Social Media and Digital Communications Tuesday, May 22 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.

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

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

Conference Location: Hutchins Hall Room 100, University of Michigan Law School, 625 South State Street, Ann Arbor, Michigan.

CPD Bootcamp. Adding value to your role as in-house counsel: Working together to deliver value to our mutual clients.

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

Agenda ANNUAL SEMINAR ON RISK MANAGEMENT AND REGULATORY EXAMINATION/COMPLIANCE ISSUES. October 16-17, 2017

Building Wealth and Prosperity in the Communities We Call Home

NMB NATIONAL MEDIATION BOARD LINDA A. PUCHALA HARRY R. HOGLANDER

Date: Friday, March 24, 2017 Time: 8:30 AM 4:30 PM Location: Baruch College 55 Lexington Avenue, NYC

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

Annual Risk Management & Regulatory Examination/Compliance Seminar

GORDON J. CAMPBELL 3 Peter Cooper Road, #12 C New York, New York

Viking Advisory Group. Company Presentation September 2011

EY s ninth annual Mutual Fund Seminar

Management Bios. Michael P. Norcio, Chairman and CEO

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

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

Enhancing Audit Quality and Transparency Supplement Additional information required by Article 13 of EU Regulation 537/2014

The Complexities of Mixed Use

Final Pitch Competition PROGRAM GUIDE. Wednesday, March 2, 2016 at HIMSS16 VENETIAN - PALAZZO - SANDS EXPO CENTER LEVEL 3 - LIDO 3104 LAS VEGAS, NV

50 th Annual Securities Regulation Seminar Millennium Biltmore Hotel Friday, October 20, :00 AM - 5:00 PM

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

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

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

ANNUAL GENERAL MEETING AND FORUM ON MARKET TRANSPARENCY

Venture Capital Search Highlights

Brookfield Investment Partners, LLC 330 South Executive Drive #307 Brookfield, WI July 29, 2011

Rebecca L. Burke VICE PRESIDENT, NATIONAL ETF SALES

NASP-ATLANTA Chapter Officer Candidates

PRESENTERS >>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>>

Part 2B of Form ADV: Brochure Supplement. Mariko O. Gordon, CFA Founder, Chief Executive Officer and Chief Investment Officer

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

Northwestern University School of Law, Senior Research Honors. Northwestern University, Departmental Honors Thesis

The Tribeca Group at Morgan Stanley Smith Barney

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

First Southern Securities, LLC Credentials

Orange County Employees Retirement System Big Picture MACRO ECONOMIC OUTLOOK FORUM

The Whalen Group at Morgan Stanley Smith Barney

Expert Panel. Moderator. Global Managing Partner, Supply Chain & Operations Officers Practice. Senior Manager, Payment Solutions Operations.

GLP CHINA LEADERSHIP TRANSITION

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

Bios. James R. Kruse. Richard Best

DB1 Ventures Strategic Partner of Choice. September 2017

CONFERENCE & BANQUET

EBC Program Series with MassDEP Leadership Commissioner Suuberg and the DEP Headquarters Leadership Team Hot Issues & Ongoing Challenges

Insights into the Philanthropic Mind:

BNEF Market Review. Wednesday, September 24, 2014

WE PROMOTE GROWTH. WE ARE A FINANCIAL SERVICES VALUE ADVOCATE.

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

America at Risk: CyberSecurity and US Election Impact

Banking & securities accounting and reporting update

PRACTICAL STRATEGIES FOR DOING BUSINESS IN CHINA Thursday, October 25, 2007

The Promise and Prospect of a new Fiduciary Environment

FEDERAL DEPOSIT INSURANCE CORPORATION Washington, DC FORM 8-K

Slide Deck for ACC-NCR Career Development Forum Program: Elevating Your Digital Brand

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

2 ND ANNUAL. Family Enterprise Risk Forum

GREG NORTON, PRESIDENT/CEO

How can boards tackle the Essential Eight and other emerging technologies?

EXECUTIVE COMMITTEE. David Wan. Maureen Betses. President & Chief Executive Officer. Executive Vice President, Higher Education

The Willamette Securities Regulation Conference

David R. Bell. Edward C. Bernard. Barbara Bittick. Jerome A. Clark, CFA

How to Build a 100 Year Enterprise The Role of The Family Office. Presented by: Linda C. Mack STEP New York June 11, 2015

DECEMBER Continued on next page $300 $250 $200 $150 $100 $50

thepeaceriverteam

Dean Capital Management, LLC

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

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

Credentials & Qualifications. About Us Services Key Performance Indicators Editorial Expertise Meet the Team Clients/Samples Testimonials Contact Us

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

SPEAKERS ANDREA COMER

Bob McDonald. Position Held & Dates. Chairman of the Board President and Chief Executive Officer, P&G. Residence Cincinnati, Ohio, USA

Kenneth L. Bachman, Jr.

Phase II - Curriculum (as of 8/31/2018)

ALI-ABA Topical Courses The Rising Tide of Shareholder Activism December 3, 2009 Topical Audio Webcast TABLE OF CONTENTS

TRACY SEWARD CPA DECEMBER 2015 PAGE 1

1280 CENTRE STREET, SUITE 2, NEWTON CENTER, MA BAYBOSTON.COM

Visa Inc Investor Day Speaker Biographies

The Governance. for Small-and Medium-Sized. Leaders from Alberta for the World

Family Office Conference

Ronald Blue & Co., Thrivent Trust Co. join and expand as nationwide trust company

Brief Bios Candidates for Vice President for Administration and Finance

Transcription:

Emerging FinTech Trends (FinTech Track) Tuesday, May 22 10:00 a.m. 11:00 a.m. Join FINRA staff and industry representatives as they discuss how recent developments in financial technology (FinTech) are disrupting the securities industry. Topics include RegTech, automated investment advice and other advances in FinTech. Moderator: Haimera Workie Senior Director FINRA Emerging Regulatory Issues Panelists: Boris Khentov President Betterment Securities Joseph Nadreau Managing Director, Innovation & Strategy Wells Fargo Advisors Vijay Sankaran Chief Information Officer TD Ameritrade 2018 Financial Industry Regulatory Authority, Inc. All rights reserved. 1

Emerging FinTech Trends (FinTech Track) Panelist Bios: Moderator: Haimera Workie is Senior Director responsible for heading up FINRA s Office of Emerging Regulatory Issues, which focuses on analyzing new and emerging risks and trends related to the securities market. Previously, Mr. Workie served as Deputy Associate Director in the Division of Trading and Markets at the U.S. Securities and Exchange Commission. In this capacity, Mr. Workie was tasked with developing a variety of Dodd-Frank Act related rulemakings, supervising policy matters related to market intermediaries and financial market utilities, and representing the Commission before several international standard setting bodies. Mr. Workie also previously served as Counsel to Commission Chair Mary Schapiro. Prior to joining the Commission, he was an associate at the law firm of Skadden, Arps, Slate, Meagher & Flom, with a practice focusing on corporate law. He is a graduate of the Massachusetts Institute of Technology (B.S., M.S.) and Harvard Law School (J.D.). Panelists: Boris Khentov is President of Betterment Securities, the FINRA member broker-dealer entity of the first and largest independent robo-adviser. Since launching in 2010, Betterment has grown rapidly, and today manages $13 billion in assets for 350,000 customers. In the process, it has raised $275 million in venture capital. Mr. Khentov oversees all of Betterment's operations. He was an early employee, bringing a mix of engineering and legal experience to a leadership role, working closely with teams of software engineers to automate and scale Betterment s back office operations across multiple regulated entities. He played a key role in the development of Betterment s suite of automated tax optimization services, including taxloss harvesting and asset location. He also led design of the regulatory framework for Betterment for Business, the company s direct-to-employer 401(k) offering. Before joining Betterment, Mr. Khentov practiced tax and capital markets law at Cleary Gottlieb Steen & Hamilton LLP, and has a J.D. from Northwestern Law. Prior to that, Mr. Khentov was a software engineer at Antenna Software, and has an A.B. in Computer Science from Harvard University. Joe Nadreau is the managing director of the Innovation and Strategy Group at Wells Fargo Advisors, LLC, responsible for the continuing evolution of the business platforms for the firm s Financial Advisors and clients. Mr. Nadreau also sits on the Wells Fargo Advisors Operating Committee. Mr. Nadreau has worked in the financial services industry for more than 20 years. He joined Wells Fargo Advisors in 1999 as the firm s chief e-commerce officer and continues to position the firm s overall business platform and investment process to meet the strategic goals of the organization. Prior to joining the firm, Mr. Nadreau worked for the IBM Consulting Group as a senior business strategy consultant, at PaineWebber as an internal consultant/auditor, and as a capital markets officer/trader at Chase Securities. Mr. Nadreau attended Penn State University and earned a dual bachelor s degree in finance and international business. He received his MBA in finance from New York University s Stern School of Business. He is on multiple nonprofit boards in the St. Louis community and served as the chairman of the WFA United Way campaign. He is also the executive sponsor of the WFA Veterans Team Member Network. Mr. Nadreau holds FINRA Series 7 and 24 registrations and is a member of the FINRA Tech Advisory Committee. Vijay Sankaran is Chief Information Officer at TD Ameritrade. He is responsible for leading all aspects of technology at TD Ameritrade including solution delivery, operational stability, cybersecurity and innovation. Mr. Sankaran has championed a major initiative around agile development to transform the software delivery approach and platform to increase throughput. He is keenly focused on bringing innovation through technology at TD Ameritrade through the introduction of new concepts such as artificial intelligence, speech and bot interfaces, blockchain, and big data. Mr. Sankaran leads the TD Ameritrade Ann Arbor, Michigan site which he has fostered from concept to a collaborative innovation center now staffed with more than 130 individuals. Prior to joining TD Ameritrade, Mr. Sankaran held several senior leadership roles at Ford Motor Company. IT Chief Technology Officer leading advanced technology, technology strategy, data, analytics and architecture across the enterprise. Director, Application Development where he was responsible for global application development, and delivery of major programs and projects. Director, Infrastructure Operations where his responsibilities included operational support for infrastructure and Ford's largest data centers in North America. Prior to joining Ford, Mr. Sankaran was a consultant with both Ernst & Young LLP and Headstrong where he focused 2018 Financial Industry Regulatory Authority, Inc. All rights reserved. 2

heavily on analytical systems. Mr. Sankaran holds a B.S. in Computer Science from the Massachusetts Institute of Technology and an M.B.A from Duke University's Fuqua School of Business. 2018 Financial Industry Regulatory Authority, Inc. All rights reserved. 3

2018 FINRA Annual Conference May 21 23, 2018 Washington, DC Emerging FinTech Trends (FinTech Track)

Panelists Moderator Haimera Workie, Senior Director, FINRA Emerging Regulatory Issues Panelists Boris Khentov, President, Betterment Securities Joseph Nadreau, Managing Director, Innovation & Strategy, Wells Fargo Advisors Vijay Sankaran, Chief Information Officer, TD Ameritrade FINRA Annual Conference 2018 FINRA. All rights reserved. 1

Resources For additional information on FINRA s FinTech and Innovation initiatives, please visit www.finra.org/fintech. FINRA Annual Conference 2018 FINRA. All rights reserved. 2