Richard Tinelli
About Richard Tinelli
Richard Tinelli serves as a Senior Analyst in Market Regulation at FINRA, where he has worked since 2010. He has extensive experience in market analysis, having held positions at NYSE and Accume Partners.
Work at FINRA
Richard Tinelli has been employed at FINRA as a Senior Analyst in Market Regulation since 2010. In this role, he is responsible for overseeing market activities and ensuring compliance with regulatory standards. His work involves analyzing market data and identifying potential issues that may affect market integrity. With over a decade of experience at FINRA, he contributes to the organization's mission of protecting investors and maintaining market integrity.
Previous Experience in Market Regulation
Before joining FINRA, Richard Tinelli held several positions in market regulation. He worked at NYSE as a Supervisory Analyst from 1993 to 2000, where he focused on monitoring trading activities and ensuring compliance with regulations. He later served as a Principal Quality Review Analyst at NYSE from 2000 to 2006, where he was involved in quality assurance processes. Additionally, he worked as a Senior Manager at Accume Partners from 2008 to 2009 and as a Senior Special Analyst at Technovision from 2009 to 2010.
Education at Iona College
Richard Tinelli attended Iona College from 1980 to 1984, where he completed his undergraduate studies. His education provided him with a foundation in business and finance, which has been instrumental in his career in market regulation. The skills and knowledge gained during his time at Iona College have contributed to his analytical capabilities in the financial sector.
Career Timeline
Richard Tinelli's career spans several roles in the financial industry. He began his professional journey at NYSE, where he worked for seven years as a Supervisory Analyst. Following this, he transitioned to a Principal Quality Review Analyst role at NYSE for six years. After a brief tenure at Accume Partners and Technovision, he joined FINRA in 2010, where he has been a Senior Analyst in Market Regulation for over 14 years.