Shannon Amin

Senior Compliance @Apex Fintech Solutions

Fort Worth, TX, US
MOBILE NUMBERS
+91 *********19

Signup · Get unlimited contacts

WORK HISTORY

Jun 2025 — Present

Senior Compliance @Apex Fintech Solutions

View department →

At Apex Fintech Solutions, I serve as Senior Compliance within our Compliance Program, where I lead regulatory responses and document submissions to FINRA, the SEC, and the OCC. I partner closely with internal stakeholders and regulators to ensure timely, accurate reporting and sustained adherence to evolving regulatory standards.My work includes analyzing and responding to regulatory inquiries and examinations, developing and enhancing written supervisory procedures, and advising business units on compliance best practices. With a deep understanding of FINRA and SEC rules—especially those tied to marketing and client communications—I bring strategic insight and operational precision to broker-dealer compliance oversight. I’m especially experienced in correspondent clearing environments.

EDUCATION

N/A

East Carolina University

Master of Science (MS), Computer Science

N/A

Wake Technical Community College

Nursing

N/A

North Carolina State University

Bachelor's degrees, Economics and Public Relations

SKILLS

Customer ServiceMicrosoft OfficeSalesResearchTrainingStrategic PlanningSocial MediaGraphicsPowerpointMicrosoft ExcelPhotoshopManagementLeadershipMicrosoft WordPublic Speaking

ABOUT SHANNON AMIN

At Apex Fintech Solutions, I serve as Senior Compliance within our Compliance Program, where I lead regulatory responses and document submissions to FINRA, the SEC, CFTC, and the OCC. I partner closely with internal stakeholders and regulators to ensure timely, accurate reporting and sustained adherence to evolving regulatory standards.Prior to joining Apex, I was a seasoned analyst with FINRA, a leader of advanced brokerage services options and margin at Robinhood, where I managed a team of options and margin specialists and provided guidance and education to clients on complex trading strategies and risk management. I also have years of experience as an equities and derivatives trader at TD Ameritrade, where I executed trades and analyzed market trends. I hold multiple FINRA licenses, including Series 7, 63, 4, 9, 10, and SIE, and I am passionate about staying updated on the latest developments and innovations in the financial sector.

This profile is compiled from publicly available professional sources. Unifers is not affiliated with or endorsed by LinkedIn. Request removal of this profile.