Avery Kubik

Avery Kubik

Securities Compliance Examiner @ U.S. Securities and Exchange Commission

About Avery Kubik

Avery Kubik is a Securities Compliance Examiner at the U.S. Securities and Exchange Commission in Boston, Massachusetts, a position held since 2015. He holds a Bachelor of Arts in Economics from the University of Massachusetts, Amherst, and a Master of Business Administration from the University of New Hampshire.

Work at U.S. Securities and Exchange Commission

Avery Kubik has been employed at the U.S. Securities and Exchange Commission (SEC) as a Securities Compliance Examiner since 2015. In this role, Kubik is responsible for ensuring compliance with securities laws and regulations. The position is based in Boston, Massachusetts, where Kubik has contributed to the SEC's mission of protecting investors and maintaining fair, orderly, and efficient markets.

Education and Expertise

Avery Kubik earned a Bachelor of Arts (BA) in Economics from the University of Massachusetts, Amherst, completing the program from 2005 to 2009. Following this, Kubik pursued a Master of Business Administration (MBA) at the University of New Hampshire, graduating in 2015. This educational background provides a strong foundation in economic principles and business practices relevant to the financial services industry.

Previous Work Experience

Prior to joining the SEC, Avery Kubik held several positions in the financial sector. Kubik worked at State Street as an NAV Supervisor for Hedge Funds from 2013 to 2014. Before that, Kubik was an Operations Team Leader for Mutual Funds at John Hancock Investments from 2012 to 2013. Additionally, Kubik served as a Corporate Strategy and Development Intern at Wheelabrator Technologies Inc in 2015 and as a Product Account Specialist at John Hancock Investments from 2010 to 2012.

Professional Development

Avery Kubik's career reflects a commitment to professional development within the finance and compliance sectors. The progression from roles in operations and product account management to a compliance examiner position demonstrates a focus on understanding both the operational and regulatory aspects of the financial industry.

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