Steve K.
About Steve K.
Steve K. serves as the Compliance and Ethics Officer in the Compliance Function of the Legal Group at the Federal Reserve Bank of New York, a position he has held since 2017. He has a diverse background in compliance and legal roles, including previous positions at Morrison & Foerster LLP and Citigroup Global Markets Inc.
Work at Federal Reserve Bank of New York
Steve K. has been serving as the Compliance and Ethics Officer in the Compliance Function of the Legal Group at the Federal Reserve Bank of New York since 2017. In this role, he oversees compliance and ethics programs, ensuring adherence to regulatory standards and internal policies. His tenure at the Federal Reserve spans over seven years, during which he has contributed to the development and implementation of compliance strategies that align with the institution's objectives.
Previous Experience in Compliance and Law
Before his current role, Steve K. held various positions that enhanced his expertise in compliance and legal matters. He worked as an Associate in the Business Restructuring & Insolvency Group at Morrison & Foerster LLP from 2009 to 2011. He also served as a Compliance Analyst at the Federal Reserve Bank of New York from 2005 to 2006 and as an Ethics Senior Associate from 2012 to 2017, where he focused on compliance issues within the organization.
Education and Expertise
Steve K. earned his Juris Doctor (JD) from Brooklyn Law School, where he studied from 2006 to 2009. Prior to that, he completed his undergraduate education at Princeton University, obtaining an A.B. in English from 1999 to 2003. His educational background provides a strong foundation for his work in compliance and ethics, equipping him with the necessary skills to navigate complex legal frameworks.
Internships and Early Career
During his early career, Steve K. gained valuable experience through various internships. In 2007, he interned at the New York Stock Exchange in the Division of Enforcement. He also held summer associate positions at Citigroup Global Markets Inc. and Morrison & Foerster LLP in 2007 and 2008, respectively. These roles allowed him to develop practical skills in legal analysis and compliance.