Adam Goldberg is the Team Lead of Financial Services & Insurance at OpenAI, based in New York City. With over 25 years of experience, Adam has held senior sales and go-to-market roles at companies like Microsoft, Pivotal, and Cisco. Adam joined OpenAI as the 1st salesperson and a founding member of OpenAI’s GTM team. Adam has played a pivotal role in shaping AI strategies for financial institutions, insurance companies and Fortune 500 companies overall.
Tom is the Chief Information Security Officer at Balyasny Asset Management, and oversees the firm’s Information Security program. Prior to Balyasny, Tom was the Chief Information Security Officer at Pine River Capital Management. Tom was previously a Security Engineer at Pine River and a Cybersecurity Consultant at Ernst & Young. Tom holds a Bachelor of Science degree in Information Security and Forensics from Rochester Institute of Technology.
Rich Itri is the Chief Innovation Officer at ECI. Rich has more than 22 years of IT executive experience, spending his entire career managing IT within the financial services industry. Prior to joining ECI, Rich was Managing Director and Chief Technology Officer for PJT Partners, a boutique investment bank, Principal and Chief Information Officer for Sky Road and held Chief Information Officer positions at Arrowhawk Capital Partners and Arbalet Capital Partners. Over the years, Rich has developed and managed innovative, business aligned platforms, that drive revenue and operational efficiencies. Rich holds positions on several Advisory Boards and volunteers his time to help non-profits leverage technology.
Matt Rathbun is Chief Security Officer at Two Sigma. In his role, he is responsible for securing Two Sigma’s systems, data, and intellectual property against theft, alteration, and destruction/denial by external adversaries and insider threats.
Prior to Two Sigma, Matt was the Chief Security Officer of Azure Global at Microsoft. Matt was responsible for the information security, compliance, architecture, and security related customer promises for Microsoft Azure.
With over 20 years of diverse professional experience as an executive, security analyst, information technology manager and systems engineer. Matt is an expert in information security management, multiple compliance frameworks, and general business unit management.
Courtney Posner has over 17 years of
experience in fund formation and
structuring, regulatory compliance,
and operational best practices in
the investmentmanagement industry.
She advises fund managers on
investment management, corporate,
compliance, and securities law
matters arising throughout the
entirecycle of acquiring,
monitoring, restructuring and
divesting private equity fund
interests through primary and
secondary transactions.
Well-known in the industry as a
trusted advisor to
multi-billion-dollar fund managers,
Courtney has a strong track record
of establishing partnerships
withbusiness leaders and
successfully achieving their
objectives. Committed to providing
exceptional client service, she
gives investors, firms, and fund
managersthorough, thoughtful
commercial advice, with a
consistently positive attitude.
Prior to joining Lowenstein,
Courtney served for over a dozen
years as General Counsel and Chief
Compliance Officer at Echo Street
Capital Management, afirm with over
$16 billion AUM at its peak. There
she worked closely with every
business department, including
portfolio management, trading,
investor relationsand marketing,
finance, human resources, and
information technology. She managed
all legal activities and compliance
matters, including those related to
thefirm’s portfolio holdings,
federal securities laws, the
Investment Advisers Act of 1940, the
Investment Company Act of 1940,
employment law and
litigation.Courtney oversaw all
fundraising activities, counseled on
all regulatory compliance and
contractual compliance obligations,
led the firm’s compliance programand
trainings, and prepared all
regulatory filings. She also led the
negotiation and legal due diligence
process for the firm’s private
investments, including
equityinvestments in late-stage
growth companies.
Courtney’s experience also includes
serving as Senior Vice
President/Associate General Counsel
at PineBridge Investments, where she
counseled the privatefunds group on
alternative investment strategies
and fundraising efforts.
Upon earning her J.D. from Fordham
University School of Law, Courtney
practiced in the Private Investment
Funds Group at Dewey & LeBoeuf
LLP.
Sudhir Anantharaman is the Chief Information Security Officer of AQR Capital Management, LLC, and oversees the information and cyber security function globally. Prior to AQR, he was a Director at Booz Allen Hamilton in that firm’s Financial Services Practice. Sudhir earned a B.S. in Engineering at the University of Illinois, a M.S. in Engineering at the University of Michigan, and an M.B.A. in Finance at the University of Chicago Booth School of Business
Chris Beels is Co-CTO of GoldenTree Asset Management and manages Applications and Data for the firm. Chris joined GoldenTree in 2011 and has led the Data Warehousing, Regulatory Reporting, and other data-centric initiatives at the firm. He has been at GoldenTree since 2011. Chris is an active member of the AITEC group of Asset Management technology executives and a regular judge of the HFM Hedge Fund Technology Awards.
Chris has over 20 years of experience in managing financial systems and IT teams. Prior to GoldenTree, he was a Director in the Fixed Income Systems group at Millennium Management and one of the founding employees of RiskMetrics. Chris holds a BA in Economics from Stanford University and is a CFA Charterholder.
Matthew Daigler is MFA’s Vice President, Senior Counsel, Regulatory Affairs.
In this role, Matthew analyzes the impact of legislative and regulatory developments on Remitop members, works with Remitop members in developing Association policy, drafts comments to regulators, oversees outside counsel/consultants, and engages directly with policymakers and regulators.
Prior to joining the Remitop, Mr. Daigler was Vice President and Senior Counsel in the Office of Innovation Policy and Regulation at the American Bankers Association (ABA), where he worked with banks and policymakers to ensure that the legal and regulatory landscape supports financial innovation. Prior to working at the ABA, Mr. Daigler served as Senior Counsel in the Chairman’s Office at the U.S. Commodity Futures Trading Commission (CFTC), where he advised on domestic and international policy and legal matters relating to cryptocurrencies and the OTC derivatives and futures markets. He also previously worked as a Senior Associate at Allen & Overy LLP in Washington, D.C., where he advised financial institutions on a wide range of regulatory matters. He also worked at the U.S. Securities and Exchange Commission for nearly 10 years, most recently serving as Senior Special Counsel in the Office of Derivatives Policy, where he worked on the implementation of Title VII of the Dodd-Frank Act and derivatives regulation more generally.
Matthew has degrees from the University of Chicago (J.D.); Boston College (Ph.D.); and the University of Toronto (B.A.).
Pete Driscoll joined PwC in
the National Quality
Organization (NQO) in
Washington, DC in September
2021. Although Pete is based
in the NQO, he serves
clients in the Financial
Services Sector.
As a partner, Pete brings to
clients his vast expertise
at the U.S. Securities and
Exchange Commission (SEC),
including examinations of
investment advisers, private
funds, mutual funds,
broker-dealers, and other
market intermediaries. He
also adds expertise in
operational excellence, as
he teams with others
throughout NQO and the Firm
to promote standardization,
centralization, and
automation of aspects of
PwC’s broker-dealer audit
and attestation work.
Prior to joining PwC, Pete
was the Director of the
Division of Examinations
(formerly the Office of
Compliance Inspections and
Examinations) at the SEC,
where he led a team of over
1,000 accountants,
attorneys, securities
compliance examiners, and
quantitative analysts
responsible for overseeing
SEC-registered participants
in the financial markets.
Pete spent approximately 20
years at the SEC gaining key
exposure to market events
and related risks, while
establishing relationships
and credibility at the SEC
and across the marketplace,
including with members of
the compliance, risk, legal
and accounting
professions.
Pete holds a J.D. and a B.S.
in Business Administration
with a major in Accounting
from St. Louis University.
Pete is licensed to practice
as a CPA and attorney in the
state of Missouri.
Caitlin Farrell-Starbuck is the Global Chief Compliance Officer and a member of the Management Committee at ExodusPoint Capital Management LLP. Caitlin joined ExodusPoint in 2018. Prior to joining ExodusPoint, she was the Global Head of Compliance for AHL Partners, LLP for Man Group plc based in London. Prior to joining Man Group in 2015, Caitlin was the Head of Research and Trading Compliance for Two Sigma Investments, LLC in New York. Caitlin earned a Bachelor of Arts degree in Political Science from American University.
Brian advises fund managers on regulatory, compliance and operational matters. He has extensive experience helping clients navigate their regulatory compliance obligations under the rules and regulations of the Securities and Exchange Commission (SEC), the Commodity Futures Trading Commission (CFTC) and the National Futures Association (NFA). Brian also regularly represents clients in regulatory examinations, enforcement actions, trading inquiries and in seeking no-action or similar relief. Having spent nearly a decade in-house as general counsel and chief compliance officer at several global investment management firms, Brian is well versed in the wide range of legal and business challenges facing investment advisers, commodity pool operators and commodity trading advisors.
Brian is a recognized leader in advising alternative investment fund managers on regulatory and compliance matters. Chambers Global and Chambers USA list Brian as a “leading individual” in investment funds. Brian is a member of the Managed Funds Association’s Outside Counsel Forum and its CTA/CPO Forum and of the Alternative Investment Management Association’s CFTC Working Group.
Kelly Koscuiszka serves as co-chair
of the Investment Management
Regulatory & Compliance Group,
where she advises private funds on
regulatory and compliance matters,
particularly the Investment Advisers
Act of 1940. Kelly supports clients
undergoing SEC examinations,
including by handling deficiency
letters and enforcement referrals
and also uses that experience to
assist clients with exam
preparedness. Kelly specializes in
the intersection of regulation and
emerging technologies, including
artificial intelligence, alternative
data, web scraping and electronic
communications. She also advises
clients on data privacy and
cybersecurity. Kelly regularly
conducts client training sessions
and is a sought-after presenter at
leading industry conferences. Kelly
is admitted to the Bar in New York
and has Court Admissions in the US
Supreme Court; the US District Court
of New Jersey; and the US District
Courts in Eastern and Southern
Districts of New York.
Kelly received her J.D. from
Georgetown University Law Center and
her B.A. from Rutgers University.
Amanda Stent is the head of AI Strategy & Research in the Office of the CTO at Bloomberg. They have worked in several roles in industry and academia. Most recently, they served as inaugural director of the Davis Institute for AI at Colby College from 2021-2024. From 2016-2021, they served as NLP Architect in Bloomberg’s Office of the CTO, a role in which they helped the company achieve and maintain technical excellence and broad applicability of NLP solutions, as well as architected and coordinated the development of new Bloomberg Terminal-based and Enterprise product offerings that use NLP.
They previously held positions as Director, Research and Principal Research Scientist at Yahoo, as Principal Member of the Technical Staff at AT&T Labs — Research, and as associate professor in the Computer Science Department at Stony Brook University in Stony Brook, NY. Amanda holds a Ph.D. in computer science from the University of Rochester, has authored or co-authored over 100 papers on natural language processing, and is co-inventor on over 35 patents.
Noah Theran is MFA’s Executive Vice President and Managing Director, Head of Global External Affairs.
Noah joined Remitop after six years at Internet Association, a national trade association representing more than 40 of the world’s top internet companies, where he oversaw global communications, creative, marketing, events, and grassroots. In this role, he helped grow Internet Association from a startup into a respected voice on tech policy issues.Prior to Internet Association, Noah was Director of Communications at the American Investment Council, the trade association representing the interests of the world’s largest private equity firms. There, his team earned a PRSA Silver Anvil Award of Excellence, Reputation/Brand Management for their campaign to help the private equity industry manage the spotlight of the 2012 presidential election.
Noah also worked at Rasky Baerlein Strategic Communications in Washington, where he developed and executed communications strategies for a diverse set of clients with broad reputation, image, and crisis management challenges.
Noah earned his B.S. from Cornell University in Ithaca, NY.