Jay Sarmenta

Compliance Manager at DoubleLine

Jay Sarmenta is an experienced compliance professional with a strong background in anti-money laundering and risk management. Currently serving as Compliance Manager and Anti-Money Laundering Officer at DoubleLine Group LP since October 2019, Jay has previously held compliance roles at CIM Group and PennyMac Financial Services, Inc. Notably, Jay was Vice President of Compliance at Oakmont Corporation, overseeing compliance for multiple investment entities. Additional experience includes a Vice President position at Union Bank, where Jay managed investment advisory and privacy compliance, and earlier roles at Wilshire Associates and National Planning Corporation. Jay holds a Master of Business Administration from Pepperdine University.

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