Daniel Kryger has a diverse work experience in the financial industry. Daniel currently holds the position of Vice President at Rosenblatt Securities since May 2019. Before that, they served on the Board of Directors at Pura Naturals, Inc. from March 2017 to August 2021, where they played a key role in developing foam technology for household cleaning products.
Prior to their role at Pura Naturals, Daniel worked at Prime Executions, Inc. as the Chief Compliance Officer, Supervision, Trading, & Operations. Here, they focused on compliance and supervision for all NYSE listed trading/sales trading and managed buy and sell-side institutional accounts from September 2016 to May 2019.
In 2015, Daniel served as the Chief Operations Officer at Princeton Securities Group. During their tenure, they managed the brokerage operations staff and oversaw daily trading activity. Daniel also played an instrumental role in project coordination, process control, and client relationship management until September 2016.
Before Princeton Securities Group, Daniel held the position of Managing Director, Compliance/Supervision, Trading/Investment Banking at Benjamin & Jerold Brokerage, LLC from May 2009 to December 2015. Their responsibilities included compliance/supervision for all NYSE cash equities trading, managing public and private accounts, and building the investment banking department.
Daniel began their career at Bank of America/Merrill Lynch Securities in 1999 as the Managing Director/Supervision/Co-Head of NYSE Operations, a role they held until May 2009. Daniel also gained experience as a Senior Institutional Trader at Goldman Sachs from June 1992 to January 1999 and as Vice President at Morgan Stanley/Dean Witter Reynolds from May 1986 to June 1992.
Throughout their career, Daniel has consistently demonstrated expertise in compliance, supervision, trading, and operations within the financial industry.
Daniel Kryger attended Brookdale Community College, where they studied accounting. Daniel obtained various certifications throughout their career, including the Securities Industry Essentials Examination from FINRA in October 2018, Operations Professional from the Financial Industry Regulatory Authority (FINRA) in July 2015, Investment Banking Registered Representative from FINRA in March 2014, and NYSE Compliance Officer from FINRA in April 2009. Daniel also obtained certifications such as General Securities Sales Supervisor-General Module and General Securities Supervisor-Options Module from FINRA in August 2008, Registered Options Principal from FINRA in July 2008, Uniform Combined State Law from FINRA in May 2008, Limited Representative-Equity Trader from FINRA in November 2006, General Securities Principal from FINRA in March 2005, Uniform Securities Agent State Law from FINRA in April 2004, General Securities Representative from FINRA in February 2003, Floor Broker Representative from NYSE in April 2002, and NYSE Floor Trader from FINRA in July 1995.
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