Michael H. Meyer is the Chief Compliance Officer of Richard Bernstein Advisors LLC.
Mr. Meyer began his career in 1987 at Goldman, Sachs & Co., where he was recruited for the firm's Operations Training Program. He spent ten years in Goldman's Global Operations Division, focusing on both institutional and high-net-worth client groups. After completing an overseas assignment in Goldman's Tokyo office, he spent his next seven years at the firm as a vice president in the Equities Compliance Department, covering the Institutional Sales & Trading and the Global Securities Services groups.
Immediately prior to joining RBA, Mr. Meyer was a director in the compliance department of Citigroup's Institutional Client Group for five years. During his tenure there, he had compliance responsibility for the Prime Finance Group, which included the bank's Prime Brokerage, Stock Loan, Synthetic Finance and Middle Office departments. His responsibilities included advising and training the franchise businesses on a day-to-day basis, drafting and implementing policies and procedures, interacting with internal and external counsel, and coordinating and participating in various internal and external regulatory exams.
Mike holds a BA in economics from the State University of New York at Stony Brook.
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