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

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Transcription:

Ask FINRA Staff Wednesday, December 2 4:30 p.m. 5:30 p.m. FINRA senior staff provides updates on regulatory key issues, enforcement and hot topics facing the industry. They address questions relating to the examination program, effective compliance practices, the implication of new and pending FINRA rules, and other important issues. Chip Jones Senior Vice President FINRA Member Relations and Education J. Bradley Bennett FINRA Enforcement Cameron Funkhouser FINRA Office of Fraud Detection and Market Intelligence Jeffrey Pasquerella Senior Vice President and Regional Director FINRA South Region Michael Rufino FINRA Member Regulation, Sales Practice 2015 Financial Industry Regulatory Authority, Inc. All rights reserved. 1

Ask FINRA Staff Panelist Bios: Chip Jones is the Senior Vice President of Member Relations and Education for FINRA. In leading the Member Relations and Education Department, Mr. Jones responsibilities include maintaining and enhancing open and effective dialog with FINRA member firms. Mr. Jones also oversees FINRA s Member Education area, which includes FINRA conferences and other member firm educational offerings such as the FINRA Institute at Wharton for the Certified Regulatory and Compliance Professional (CRCP ) designation. In addition, Mr. Jones oversees the FINRA Compliance Resource Provider Program, where FINRA works with companies that offer compliance-related products and services to regulated firms at negotiated discounts. Prior to joining FINRA, Mr. Jones spent six years as Vice President of Regulatory and Industry Affairs at American Express Financial Advisors (AEFA). Previous to AEFA, he spent two years as Advocacy Administrator for the Association for Investment Management and Research (AIMR). Mr. Jones was employed by the Virginia Securities Division as a senior examiner/investigator for more than six years prior to joining AIMR. He received a master s degree in business administration and a bachelor s degree from Radford University in Radford, Virginia. J. Bradley Bennett,, is responsible for FINRA s Department of Enforcement. In this capacity, Mr. Bennett directs investigating and bringing all formal disciplinary actions against firms and associated persons for violations of FINRA rules and federal securities laws. Mr. Bennett received his undergraduate degree from St. Lawrence University and his law degree from Georgetown University Law Center. He started his career at the SEC as a senior attorney in the Division of Enforcement, focusing on cases of all facets of securities law, including accounting, broker-dealer regulation, tender offers and insider trading. Cameron Funkhouser is of FINRA s Office of Fraud Detection and Market Intelligence. He has been with FINRA, formerly known as NASD, since 1984, serving in various roles of increasing responsibility with a focus on the surveillance of securities traded on The Nasdaq Stock Market, New York Stock Exchange, American Stock Exchange and the over-the-counter markets. Mr. Funkhouser has extensive experience conducting securities fraud investigations and is regularly called upon by civil and criminal law enforcement authorities to provide training, technical assistance, investigative/litigation strategy consulting and expert testimony. Currently, he is responsible for overseeing the Office of Fraud Detection and Market Intelligence, which includes the Insider Trading and Fraud Surveillance units responsible for monitoring the trading activity of more than 10,000 publicly traded securities, FINRA s Complaint Center and FINRA s Whistleblower program. Mr. Funkhouser and his staff have been responsible for uncovering numerous cases of Internet fraud, insider trading, market manipulation, Ponzi schemes and other white collar misconduct, which have been successfully investigated and prosecuted by FINRA, the Securities and Exchange Commission and other law enforcement agencies across the country and internationally. He graduated from Georgetown University with a bachelor s degree in business and George Mason University with a law degree. Mr. Funkhouser is a member of the Virginia State Bar. Jeffrey M. Pasquerella is Regional Director and Senior Vice President overseeing FINRA s South Region, which includes offices in Atlanta, Boca Raton, Dallas and New Orleans. Previous to serving as Regional Director, he was the District Director of FINRA s District 10 Office located in New York. He has been employed by FINRA since August of 1999. Prior to joining FINRA, Mr. Pasquerella served as an assistant district attorney in the Westchester County District Attorney s Office for three years. He is a 1993 graduate of Villanova University, Villanova, Pennsylvania, and a 1996 graduate of Pace University School of Law, White Plains, New York. Mr. Pasquerella is a member of the New York and Connecticut State Bars. Michael Rufino is and Head of Member Regulation Sales Practice. In this capacity, he is responsible for overseeing FINRA s Sales Practice program, which encompasses 15 District offices across the United States and the Membership Application Program. Mr. Rufino began his regulatory career in 1988 at the New York Stock Exchange. He has been with FINRA since its creation in 2007. Prior to serving in his current capacity, Mr. Rufino was the Chief Operating Officer in Member Regulation Sales Practice. He has been involved in various industry initiatives throughout his career in regulation. In addition, Mr. Rufino is a representative on FINRA s Compliance Advisory Committee. He has also served as a member of the Securities 2015 Financial Industry Regulatory Authority, Inc. All rights reserved. 2

Industry Continuing Education (CE) Council, assisted in the creation of Electronic Communications Guidance to the industry and served as a member of the Social Networking Task Force. In addition, he participated in the Financial Action Task Force s (FATF) initiative to create guidance on the risk-based approach to the prevention of money laundering and terrorist financing as well as the FATF Typology on the Securities Industry. He previously served as FINRA s representative on International Organization of Securities Commissions (IOSCO) Committee 3 on Intermediaries. Mr. Rufino graduated magna cum laude from Iona College with a degree in finance, and received his MBA with honors in management information systems from Iona. 2015 Financial Industry Regulatory Authority, Inc. All rights reserved. 3

South Region Compliance Seminar December 2-3, 2015 New Orleans, LA Ask FINRA Staff

Panelists Chip Jones, Senior Vice President, FINRA Member Relations and Education J. Bradley Bennett,, FINRA Enforcement Cameron Funkhouser,, FINRA Office of Fraud Detection and Market Intelligence Jeffrey Pasquerella, Senior Vice President and Regional Director, FINRA South Region Michael Rufino,, FINRA Member Regulation, Sales Practice South Region Compliance Seminar 2015 FINRA. All rights reserved. 1