William Flores

William Flores Email and Phone Number

Chief Compliance Officer at DuPont Capital Management @
William Flores's Location
Norristown, Pennsylvania, United States, United States
William Flores's Contact Details
About William Flores

William Flores is a Chief Compliance Officer at DuPont Capital Management at DuPont Capital Management. He possess expertise in hedge funds, equities, securities, fixed income, derivatives and 16 more skills. He is proficient in Spanish.

William Flores's Current Company Details
DuPont Capital Management

Dupont Capital Management

Chief Compliance Officer at DuPont Capital Management
William Flores Work Experience Details
  • Dupont Capital Management
    Chief Compliance Officer
    Dupont Capital Management May 2019 - Present
    Wilmington, De
    • Provide strategic direction to the management team on compliance matters.• Identify and document regulatory risks.• Ensure that the organization complies with existing and developing federal and state laws and regulations.• Develop firmwide policies and procedures.• Design and enhance appropriate surveillance systems to monitor investment advisory activities.• Conduct and/or coordinate on-going education/training sessions for employees on appropriate Compliance-related subjects.• Chair DuPont Capital Management’s Fiduciary Committee; member of various committees (Fair Valuation, Counterparty, Business Risk Management, Business, and Cybersecurity).• Liaise with legal and regulatory bodies on compliance-related issues.• Responsible for establishing and setting the tone of compliance throughout the organization.
  • Dupont Capital Management
    Head Of Compliance For The Investment Adviser - Broker Dealer Cco
    Dupont Capital Management Dec 2013 - May 2019
    • Prepare timely and accurate regulatory filings, including but not limited to Form ADV, Form PF and Form BD. • Maintain DuPont Capital’s on-line Compliance Manual and DCMM’s Written Supervisory Procedures.• Conduct annual Rule 206(4)-7 reviews of DCM policies and procedures and document such reviews.• Ensure that DCMM meets the regulatory requirements of FINRA, including AML, CRD filings and continuing education.• Review advertising materials, including RFPs, client presentations and new business presentations.• Chair DuPont Capital Management’s Fiduciary Committee; member of various committees (Fair Valuation, Counterparty, Business Risk Management, and Fiduciary).• Manage all activities associated with DuPont Capital’s personal trading policy and procedures.• Oversee the firm’s email retention policies and procedures, including reviewing emails that meet certain criteria.• Lead efforts associated with regulatory examinations/audits (FINRA, SEC, DOL, etc.).• Participate in key industry trade associations, committees, working groups, and maintain collaborative relationships with relevant regulators, including the SEC and FINRA.• Conduct and/or coordinate on-going education/training sessions for employees on appropriate Compliance-related subjects.
  • Dupont Capital Management
    Compliance Manager
    Dupont Capital Management Jun 2013 - Dec 2013
    Wilmington, De
    • Supervise investment guideline trade monitoring staff.• Oversee the initial set-up, implementation, and monitoring of new client investment guidelines.• Continuously drive improvements in the firm’s understanding and use of the compliance system’s functionality, including reporting, to best meet the firm’s business needs.• Work with IT to evaluate data feeds between Sentinel and other data provider systems used to monitor client guidelines, e.g., transmission feeds between Linedata, FactSet, Bloomberg, Pace, etc.• Provide advice around the coding of regulatory / guideline restrictions to the business when required, interacting with fund managers and front office staff at all levels.• Ad-hoc project involvement for new instruments, markets, system changes and product launches.
  • Aberdeen Asset Management
    Senior Compliance Officer
    Aberdeen Asset Management Dec 2011 - Jun 2013
    Greater Philadelphia Area
    • Oversaw trade surveillance and investment guideline monitoring program using Charles River as the primary tool.• Tracked regulatory changes and coordinated projects to track progress of implementing regulation through to completion. • Completed questionnaire and reviewed periodic mutual fund questionnaires, client due diligence requests and related matters both independently and in conjunction with other departments.• Reviewed and developed compliance policies and procedures to demonstrate that the firm has appropriate internal controls.• Performed specialized compliance exams based on regulatory requirements, firm policies, contractual obligations, and risk factors.• Assisted in the oversight of the compliance program of Aberdeen’s US divisions, including oversight of Investment Advisor, Registered Funds and Broker Dealer. • Drafted educational primers on various topics to assist management (Reg. S., Cross Trades etc.).
  • Delaware Investments
    Compliance Officer
    Delaware Investments Jan 2009 - Nov 2011
    • Worked with both internal and external business units to support system implementations, enhancements to existing systems and development of new systems.• Oversaw firm’s trade investment guideline monitoring process. • Identified opportunities and implemented related solutions to reduce risks and improve efficiencies.• Developed and implemented new policies and procedures needed for the changing regulatory landscape.• Reviewed client mandates, including advisory contracts, prospectuses, and statements of additional information. • Reviewed questionnaires, policies and other related forms provided by the companies sub advisors and service providers as part of the due diligence process.• Assisted investment management personnel with day-to-day compliance advice and interpretation.• Conducted training sessions for employees on compliance-related subjects.• Supported compliance business continuity planning efforts through the coordination and maintenance of plan updates, the communication of changes and the support of testing. • Assisted CCO with projects and initiatives associated with new business lines, SEC requests, mergers of new or existing businesses and other ad hoc requests.
  • Citi
    Senior Compliance Officer
    Citi Sep 2005 - Dec 2008
    • Performed in-depth Compliance review for all alternative investments including, Hedge Funds, Fund of Hedge Funds, Private Equity, Managed Futures, Real Estate, Exchange Funds, Equity Structured Products, Exchange Funds and Structured Fixed Income products.• Reviewed pre-product launch documentation including subscription documents, fact cards, product program, internal training documents and client facing marketing and advertising material. • Drafted and implemented several Alternative Investment Unit procedures including, New Product Reviews, ERISA Structured Product Review, Client Suitability Review and Short-Term Trading Review.
  • J.P. Morgan
    Alternative Investments Middle Office- Associate
    J.P. Morgan May 2004 - Sep 2005
    Greater New York City Area
    • Managed the books on all Derivative trades for the Alternative Investments and Structured Liabilities. • Monitored covenants to make sure clients were meeting the requirements in accordance with the ISDA agreements.
  • Ubs
    Mbs Investigations
    Ubs 2001 - 2002

William Flores Skills

Hedge Funds Equities Securities Fixed Income Derivatives Mutual Funds Alternative Investments Due Diligence Investment Management Bloomberg Trading Financial Risk Investments Portfolio Management Private Equity Asset Management Options Structured Products Financial Analysis Mergers And Acquisitions Series 7

William Flores Education Details

Frequently Asked Questions about William Flores

What company does William Flores work for?

William Flores works for Dupont Capital Management

What is William Flores's role at the current company?

William Flores's current role is Chief Compliance Officer at DuPont Capital Management.

What is William Flores's email address?

William Flores's email address is wi****@****ail.com

What schools did William Flores attend?

William Flores attended Seton Hall University School Of Law, Strath Haven, Syracuse University.

What skills is William Flores known for?

William Flores has skills like Hedge Funds, Equities, Securities, Fixed Income, Derivatives, Mutual Funds, Alternative Investments, Due Diligence, Investment Management, Bloomberg, Trading, Financial Risk.

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