Bob Bailey
About Bob Bailey
Bob Bailey is a Principal Analyst at FINRA, where he supports the Options Regulation team and conducts reports on regulatory activities. He has over two decades of experience at the American Stock Exchange in various leadership roles.
Work at FINRA
Bob Bailey serves as a Principal Analyst at the Financial Industry Regulatory Authority (FINRA) since 2015. In this role, he supports the program management activities of the Options Regulation team. His responsibilities include conducting and presenting reports that analyze FINRA Options Regulation activities and trends. He collaborates with managers to understand the team's objectives, strategies, and goals, ensuring alignment with regulatory standards.
Previous Experience at American Stock Exchange
Before joining FINRA, Bob Bailey had an extensive career at the American Stock Exchange, where he held several key positions over 23 years. He served as Director from 1985 to 2008, overseeing various operations. His roles included Director of Market Operations and Trading Floor Systems from 2005 to 2007, and Director of Projects and Initiatives from 2007 to 2008. Additionally, he worked as Project Director/Business Analyst from 2000 to 2005, contributing to multiple projects and initiatives.
Education and Expertise
Bob Bailey studied at New York University from 1992 to 1997, where he gained knowledge that supports his career in financial regulation and market operations. His educational background complements his extensive experience in the financial industry, particularly in options regulation and market operations.