Natelli Abramov

VP, Regulatory Reporting, Fidelity Investments

Natelli has been with Fidelity for 17 years and is responsible for monitoring the broker dealer’s net capital (SEC Rule 15c3-1) and customer reserve/PAB computations (SEC Rule 15c3-3) along with various supplemental reports. Natelli has over 23 years of experience in finance, primarily focused on regulatory reporting. Before joining Fidelity, Natelli worked at the NYSE and Prudential Securities.

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