Cynthia Kelly
Senior Compliance Consultant
STP Investment Services
Cynthia is a Senior Compliance Consultant with STP Investment Services and has over two decades of experience in creating, implementing, and leading comprehensive compliance, ethics, and risk programs within complex global financial services organizations. She was most recently Chief Compliance Officer at BennBridge US LLC, where she developed a robust compliance and risk program while actively building out operations and incorporating new products for a newly registered SEC investment adviser. For fifteen years prior to BennBridge, Cynthia was Senior Vice President and Senior Compliance Officer at Acadian Asset Management LLC, where she was primarily responsible for all facets of compliance, including managing the firm’s inaugural global pre and post-trade compliance process and system implementation. Cynthia also held compliance officer roles at BISYS Group and State Street Research.
Cynthia earned her M.S. in Ethics & Public Policy with a focus on Business Law & Ethics, and her BSBA in Business Management, and Paralegal Certificate at Northeastern University.