Joel Birenbaum
About Joel Birenbaum
Joel Birenbaum serves as Legal Counsel at Harel Insurance & Finance, where he focuses on compliance with the Securities Authority and Anti-Money Laundering regulations. He has a background in communication and law, having previously worked at Meitav Dash and holding multiple degrees in these fields.
Work at Harel Insurance & Finance
Joel Birenbaum has been serving as Legal Counsel at Harel Insurance & Finance since 2020. In this role, he is responsible for issuing notices and ensuring compliance with the Securities Authority. He also handles legal compliance related to Anti-Money Laundering aspects. His position involves providing legal opinions and advice on regulatory matters and managing the preparation and submission of quarterly and annual reports. Birenbaum's work contributes to the organization's adherence to legal standards and regulatory requirements.
Previous Experience at Meitav Dash
Prior to his current role, Joel Birenbaum worked at Meitav Dash as the Marcom Division Manager from 2014 to 2017. This position lasted for three years and was based in Ramat Gan, Israel. His responsibilities in this role included managing marketing communications and contributing to the company's strategic initiatives. This experience provided him with a solid foundation in the financial services sector.
Education and Expertise
Joel Birenbaum holds a Bachelor of Laws (LLB) degree from the Faculty of Law at Netanya Academic College, where he studied from 2015 to 2017. He also earned a Master's degree in Law from Bar-Ilan University, completing his studies from 2009 to 2011. Additionally, he obtained a Bachelor of Arts (B.A.) in Communication and Mass Media Studies from Ariel University, where he studied from 2007 to 2009. His educational background equips him with a comprehensive understanding of legal and communication principles.
Legal Compliance Responsibilities
In his role as Legal Counsel, Joel Birenbaum is tasked with ensuring compliance with various legal and regulatory frameworks. He is responsible for issuing notices and managing compliance with the Securities Authority. Furthermore, he addresses legal compliance related to Anti-Money Laundering aspects. His expertise in regulatory matters is essential for maintaining the integrity of the organization’s operations.