Oyster Consulting Hires Compliance, Risk and Audit Specialist
Financial Services consulting firm responds to industry need
for compliance and operations outsourcing expertise
Brian Moran recently joined Oyster Consulting as a Director, expanding our ability to help industry members address risk, legal, operational, financial, sales practice and compliance issues with expertise in Trust Regulations, Federal Banking, OCC, and FDIC, SEC and FINRA Rules.
Brian Moran has 30 years of diverse experience in financial services. He is a former regulator with the SEC, the CFTC, NYSE and AMEX. He is an alumni of Deloitte’s financial services division. Brian has an extensive track record of constructing, testing and managing comprehensive compliance programs that enable diverse companies to efficiently navigate through a highly regulated, extremely competitive marketplace.
“Brian’s financial and operational experience complement his compliance skills, making him a valuable asset for our clients,” explains George Jennison, Oyster Consulting President. “His knowledge and passion for helping firms assess and improve their operations, technology, risk and compliance programs will be invaluable as firms continually strive to increase revenue and enhance their client experience.”
“I am both excited and honored to join the Oyster team. As a consultant for Oyster, I look forward to leveraging my experience to support the growth and success of our clients,” Moran said.