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Mr. O'Reilly's brings to TRCI his broad skills and expertise in the legal, regulatory and compliance spaces. His previous experience includes:
Chief Compliance Officer / Regulatory Attorney for a CFTC, FINRA, NFA Registrant
Member of the New York and Florida Bar Associations
Defense Litigation Attorney for a New York law firm
Proprietary Trader for a New York securities firm
Institutional Foreign Exchange Broker and Senior Vice President for a major New York FX Brokerage firm.
Mr. O'Reilly has expert knowledge of Dodd-Frank, holds FINRA series 7/63 licenses and has served his country honorably in the United States Marine Corp.
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