Nathan Ignoffo, Cpa
About Nathan Ignoffo, Cpa
Nathan Ignoffo, CPA, is the Lead of Market Surveillance at Gemini, with extensive experience in market regulation and compliance analysis.
Company
Nathan Ignoffo currently works at Gemini, a leading cryptocurrency exchange and custodian. At Gemini, he holds the position of Lead, Market Surveillance, where he has been actively focusing on maintaining market integrity since October 2020.
Title
Nathan Ignoffo serves as the Lead, Market Surveillance at Gemini. In this role, he is responsible for overseeing market surveillance efforts to ensure compliance and integrity within the cryptocurrency trading environment.
Education and Expertise
Nathan Ignoffo has a robust educational background. He earned his Master of Business Administration (MBA) from Northwestern University - Kellogg School of Management, focusing on Strategy and Economics from 2019 to 2021. Nathan also gained knowledge in Traditional Chinese Business Practices from the Guanghua School of Management, Peking University in 2012, and Cross-Cultural Management from University of Oxford's Said Business School in 2011. He holds a Bachelor's Degree in Finance from Indiana University's Kelley School of Business, obtained between 2009 and 2013. Prior to university, he graduated from Loyola Academy in 2009.
Career Background
Nathan Ignoffo has a diverse career background. Before joining Gemini in 2020, he worked for six years at the National Futures Association in Chicago, IL in senior roles focusing on market regulation. He served as Senior Analyst II from 2017 to 2020 and Supervisor of Investigations from 2014 to 2017. In 2013, Nathan worked as a Compliance Analyst at Wintrust Financial in Rosemont, IL for seven months. Earlier in his career, he held sales roles, including positions at IGS Energy, Eli's Cheesecake, and Crocs, Inc.
Professional Experience
Nathan Ignoffo's professional experience includes roles in both compliance and market regulation. At the National Futures Association, he contributed to market regulation efforts. During his time at Wintrust Financial, he focused on regulatory compliance analysis, ensuring adherence to various financial regulations. His early career included sales and customer service positions, providing him with a broad view of business operations across different industries.