Syed Bukhari

Syed W. Bukhari is an Examination Director in Capital Markets and Investment Banking Examinations in FINRA’s Member Supervision Department. Mr. Bukhari has been in this role since January 2020 and is based in the New York office. His role includes managing approximately 18 staff members, including Examination Managers and Examiners, who are responsible for the execution of the examination program. During his 14-year tenure at FINRA, Mr. Bukhari has both conducted and managed member firm examinations. Mr. Bukhari has previously worked for JP Morgan as Vice President – Audit Manager, where he was responsible for managing global audits covering Asset Management. Mr. Bukhari has a B.S. in Finance from Rutgers University.

8d. BD – FINRA Regulatory Overview (OPEN)

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