John Kelly

Chief Compliance Officer at South Street Securities Holdings, Inc.

John Kelly is a seasoned finance professional with extensive experience in compliance, operations, and financial management. Currently serving as the Chief Compliance Officer at South Street Securities Holdings, Inc. since May 2022, John oversees the compliance program for the firm's various business lines. Prior to this role, John held leadership positions including Vice President of Operational Outsourcing at Matrix Applications LLC, where the focus was on supporting financial services firms, and Director of Operations at The Bank of New York, managing a team responsible for operational functions. John's career also includes significant roles at Burlington Capital Markets as Chief Financial Officer, Director at SIFMA, and Vice President at Inverlat International, among others. John holds a Bachelor's degree in Accounting from the City University of New York-College of Staten Island.

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