Scott Sedar
About Scott Sedar
Scott Sedar is the Compliance Surveillance Manager and Vice President at Jefferies, with extensive experience in compliance and financial management across multiple major financial institutions in London.
Title and Current Role
Scott Sedar is currently the Compliance Surveillance Manager and Vice President at Jefferies. Based in London, he has been in this role since 2023. His responsibilities likely include overseeing compliance surveillance programs and ensuring adherence to regulatory frameworks.
Previous Positions at MUFG
Before joining Jefferies, Scott Sedar worked at MUFG as Policy & Business Manager - Vice President in 2022 for 11 months. He also held the position of Trade Surveillance Manager - Vice President at MUFG from 2017 to 2022, where he was based in London. During this 5-year tenure, he likely managed trade surveillance activities and ensured regulatory compliance.
Work Experience at Wells Fargo
From 2013 to 2017, Scott Sedar worked at Wells Fargo as Compliance Surveillance Lead - AVP in London. During his 4-year tenure, he was probably responsible for leading compliance surveillance initiatives. Prior to that, he worked in a different capacity at Wells Fargo as Product Controller - Credit from 2010 to 2013, focusing on credit product control.
Early Career Positions
Scott Sedar’s early career includes various roles in financial institutions. He worked at ABN AMRO Bank N.V. as a Credit Derivatives Product Controller for 5 months in 2008, and at Bank of America Merrill Lynch as a Cash Equity Product Controller for 4 months in the same year. Additionally, he held roles at J.P. Morgan, HSBC, and BNY Mellon in London, focusing on product control and investment accounting.
Education and Certifications
Scott Sedar holds a Bachelor's Degree in Finance and Financial Management Services from Sheffield Hallam University, completed in 2003. He also studied Finance at Copenhagen Business School, earning another Bachelor's Degree in 2002. Currently, he is expanding his knowledge by studying for the Diploma in Investment Compliance, demonstrating his commitment to continuous professional development.