Rich Starsia
About Rich Starsia
Rich Starsia is a Principal Analyst at FINRA, where he has worked since 2011, focusing on market activity reviews and securities law compliance. He holds an MBA from New York University and a BA in History from Princeton University, and has extensive experience in financial analysis and client strategy.
Work at FINRA
Rich Starsia has served as a Principal Analyst at FINRA since 2011. In this role, he conducts routine reviews and investigations of unusual market activity to identify potential violations of securities laws. His work involves a disciplined and analytic approach, leveraging his knowledge of key domestic and international markets. Starsia collaborates closely with senior executives to enhance client value and drive revenue growth for organizations.
Education and Expertise
Rich Starsia holds a Master of Business Administration (MBA) from New York University, where he studied Finance. He also earned a Bachelor of Arts (BA) in History from Princeton University. His educational background equips him with a robust understanding of financial principles and market dynamics, enabling him to create innovative strategies for client retention and competitive advantage.
Background
Rich Starsia has a diverse professional background, including a significant tenure at Bank of America Specialists, where he worked as Vice President from 1993 to 2007. His experience in the financial sector spans over two decades, contributing to his expertise in market analysis and client strategy development. Starsia has been based in the Greater New York City Area throughout his career.
Professional Experience
In addition to his current role at FINRA, Rich Starsia has extensive experience in the financial industry. His previous position as Vice President at Bank of America Specialists involved responsibilities that enhanced his analytical skills and understanding of market operations. His career trajectory reflects a commitment to understanding market behaviors and regulatory compliance.