CM

Casey McMahon

Chief Compliance Officer at Wolverine Trading

Casey McMahon is an accomplished compliance professional with extensive experience in the financial industry, currently serving as Chief Compliance Officer and Compliance Director at Wolverine Trading since June 2012. Prior experience includes a role as Associate Director of Market Regulation at the Financial Industry Regulatory Authority from June 2010 to June 2012 and Managing Director of Options Surveillance at NYSE Regulation from August 2006 to June 2010. Earlier in the career, Casey held the position of Director of Options Surveillance at Pacific Exchange/Archipelago from 2000 to June 2006. Educational background includes a Bachelor of Arts in Economics from Stanford University.

Location

Chicago, United States

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Wolverine Trading

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Wolverine is a diversified financial institution specializing in proprietary trading, asset management, order execution services, and technology solutions. They are recognized as a market leader in derivatives valuation, trading, and value-added order execution across global equity, options, and futures markets. Their focus on innovation, achievement, and integrity serves the interests of our clients and colleagues. Wolverine is headquartered in Chicago, with branch offices in New York, San Francisco, and London.


Employees

201-500

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