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Genemarie EGUILIOR

By Yolanda Delgado

Genemarie Eguilior is the Chief Compliance Officer for Bulltick’s broker-dealer (BD), Bulltick, LLC and Registered Investment Advisor (RIA), Bulltick Wealth Management, LLC. She is responsible for overseeing the compliance and regulatory initiatives for Bulltick’s BD and RIA.

Genemarie joined the firm in 2021 and has more than 30 years of experience covering institutional equity trading, market microstructure, compliance, risk management, regulatory exams, supervisory procedures, operations, clearing, AML compliance and Broker-Dealer management.

Prior to joining Bulltick, Genemarie was the Managing Director and Chief Compliance Officer for Bradesco BAC Florida Investments for seven years. She started her career in 1992 at Guzman & Company in Institutional Equity trading and was promoted to Head Trader to manage and supervise the Firm’s program and block trading desks.

She holds a BA degree from the University of Florida. She holds the FINRA Series: SIE, 4, 7, 9/10, 14, 24, 55, 63, 99 registrations, and is a graduate of the FINRA Institute at Georgetown University as a Certified Regulatory Compliance Professional (CRCP).

Additionally, Genemarie maintains industry memberships with the Security Traders Association of Florida, where she was president from 2006 -2007, and with the National Organization of Investment Professionals (NOIP) since 2007.