Roni Meikle

Director of Continuing Education


Roni Meikle is the Senior Director of Continuing Education at FINRA, where she manages the development and administration of the Continuing Education Regulatory Element Program and provides tools and guidance for the Firm Element Program. In addition, Roni serves as the administrator of the Securities Industry/Regulatory Council on Continuing Education (CE Council) and oversees the operations of the council’s website, She served in similar roles during her tenure with New York Stock Exchange Regulation before its 2007 consolidation with the NASD.

Before managing the Continuing Education Program, Roni was the Manager of Broker and Specialist Training at the NYSE where she managed the program to train brokers on the use of real time trading floor technology. She also administered the orientation program for new NYSE members and oversaw a variety of training activities for trading floor staff.

Prior to the NYSE, Roni held a variety of management, operations, and training positions with Dow Jones, Computer Applications Learning Center, Amerada Hess Corporation, Merrill Lynch and Mutual Benefit Life Insurance Co.  She received a Bachelor’s of Science degree in Business from Montclair State University, with a concentration in Systems Management.

Related Sessions

View full schedule

Quick Links

For More Information, Contact Us:

(860) 672-0843