Anthony Vega
US CCO
Anthony Vega is a senior regulatory risk and compliance executive with more than 20 years of experience guiding global financial institutions through complex regulatory frameworks, risk management initiatives, and internal audit programs. He has held leadership positions at Wells Fargo, Mizuho Financial Group, Mitsubishi UFJ Financial Group, Deutsche Bank, and Morgan Stanley, where he specialized in regulatory change management, risk governance, and operational resilience.
Anthony holds a B.B.A. in Economics and an M.Sc. in Finance from Baruch College. He is CRMA certified and a CIA candidate (expected 2026). His expertise covers U.S. and international regulations, including those issued by the SEC, FINRA, and CFTC, as well as Basel III and the Volcker Rule. Anthony has a proven track record of driving compliance transformation and collaborating with senior leadership to enhance control environments and regulatory outcomes.