John Thomas Financial Hires Richard Nummi as Chief Risk Officer

(firmenpresse) - NEW YORK, NY -- (Marketwire) -- 10/10/12 -- , a full service independent broker/dealer and investment-banking firm located in New York City's Financial District, is pleased to announce regulatory veteran Mr. Richard Nummi, Esq. as the firm's newly-appointed Chief Risk Officer. Mr. Nummi has over 20 years of progressively broad-based executive regulatory and compliance experience, including service as a Senior Enforcement Attorney at the United States Securities & Exchange Commission in Washington, D.C. Prior to joining John Thomas Financial, Mr. Nummi was managing partner at Nummi & Associates, a premier provider of regulatory compliance and business development consulting services representing a broad spectrum of broker-dealers, issuers, registered investment advisors and vendors.
Mr. Nummi will oversee all risk-related areas of John Thomas Financial's business operations, working with the firm's legal and compliance team on the identification, analysis and mitigation of regulatory risk. He will be responsible for comprehending complex regulatory requirements and developing detailed action plans to forestall potential issues. In addition to managing the firm's market risk, Mr. Nummi will guide John Thomas Financial to proceed in a prudent fashion as a good corporate citizen.
A published author and nationally-recognized expert in securities regulation and governance, Mr. Nummi is a frequent financial industry media commentator, appearing regularly in the Wall Street Journal and InvestmentNews.
John Thomas Financial has announced several key hires as the firm continues its growth and expansion of service offering. In the last year, the firm as Managing Director of Fixed-Income Securities and as Head of Investment Banking. Last month, John Thomas Financial , a division that offers a full range of institutional services to companies in the healthcare sector.
For timely insights, news, and commentary on economics and financial markets, visit the or join the John Thomas Financial community on and .
, a member of FINRA and SIPC, is an independent broker-dealer and investment banking firm headquartered in New York City's Wall Street district. Emphasizing a client-centric approach to managing all aspects of its business, John Thomas Financial and its affiliates offer a full complement of retail brokerage, , and corporate advisory services tailored to the unique needs of its clients. The firm publishes the , a unique daily indicator that looks at government spending and its impact on the financial markets, , a weekly technical stock market analysis, and , a report analyzing consumer sentiment, market outlook, credit cycles and dozens of other market influences.
ESVEE GROUP, LLC
159 20TH ST. SUITE 3B
BROOKLYN, NY 11232
646.820.5777
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Datum: 10.10.2012 - 15:25 Uhr
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News-ID 191287
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