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Andrew Surgan

Capital Markets Practice Leader

Andrew Surgan is a seasoned Senior Compliance professional with over 22 years of experience in the broker dealer industry. Throughout his career, he has worked with both large and small, regional and international investment banks, focusing on developing and implementing compliance programs at local and international levels. Andrew has a solid track record of successfully managing internal and external audits from regulatory bodies like FINRA, SEC, OCC, CFTC, and FRB. He has played a key role in expanding broker dealer businesses and product lines, demonstrating expertise in regulatory changes and providing strong leadership in establishing robust policies, procedures, and internal controls. Andrew possesses in-depth knowledge of SEC, CFTC, and FINRA rules.

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Location

New York, New York