Joseph Neary

Chief Risk Officer at Cetera Financial Group

Joseph Neary is the chief risk officer for Cetera Financial Group. In this role, Joe is responsible for ensuring a holistic risk picture across the firms in the Cetera Financial Group network. He leads a team of compliance and risk management professionals who provide advice and guidance regarding regulatory matters and other risk issues impacting the firms and its registered broker-dealers and investment advisory firms. Prior to joining Cetera, Neary was the CCO of Park Avenue Securities, the Investment Advisory CCO, and the Royal Alliance CCO for AIG Advisor Group. He has also been a compliance officer for AIG SunAmerica Asset Management and served as the CCO for AIG Capital Services, the principal underwriter for SunAmerica Products. Neary started his career in financial services in 1997 as a compliance officer and counsel at Prudential Financial and Marsh & McLennan, where his responsibilities included focusing on the oversight of wholesaling broker-dealer activities, product manufacturing, capital raising, and retirement services. Joe also has experience managing the risk oversight with regards to the distribution of direct investments and investment banking. Neary earned his L.L.M. in international business transactions from McGeorge School of Law and his J.D. from Widener University Law School He holds 7, 24, 53, and 66 securities registrations. He is licensed to practice law in New York and New Jersey.

Location

Las Vegas, United States

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Cetera Financial Group

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Cetera Financial Group is a shared service organization serving affiliates that comprise the second-largest family of independent broker-dealers in the United States.


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1,001-5,000

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