Sean Quinn

Sean Quinn

Manager, Trade Reporting @ FINRA

About Sean Quinn

Sean Quinn serves as the Manager of Trade Reporting at FINRA, a position he has held since 2019. With a background in law and extensive experience in regulatory analysis, he has worked in various roles within FINRA and other organizations.

Current Role at FINRA

Sean Quinn has held the position of Manager, Trade Reporting at FINRA since 2019. He operates within the Washington D.C. Metro Area, where he oversees trade reporting activities. His role involves ensuring compliance with regulatory standards and enhancing the efficiency of trade reporting processes.

Previous Experience at FINRA

Before becoming Manager, Trade Reporting, Sean Quinn served in various roles at FINRA. He was a Senior Analyst from 2016 to 2018 and an Associate Principal Analyst from 2018 to 2019. Additionally, he worked as a Regulatory Analyst from 2014 to 2016. His tenure at FINRA provided him with extensive experience in regulatory analysis and trade reporting.

Internship at U.S. Department of Commerce

In 2011, Sean Quinn completed a three-month internship at the U.S. Department of Commerce, specifically within the International Trade Administration. This role contributed to his understanding of trade regulations and international commerce.

Educational Background

Sean Quinn earned his Doctor of Law (JD) degree from Widener University School of Law, where he studied from 2010 to 2013. Prior to that, he obtained a Bachelor of Arts in Political Science from the College of Charleston, completing his studies from 2004 to 2008. His educational background supports his expertise in law and regulatory matters.

Legal Experience

Sean Quinn worked as a Contract Attorney at LegalSource LLC for six months in 2013-2014. This role allowed him to apply his legal knowledge in a practical setting, further enhancing his skills in legal analysis and contract management.

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