Bio

Team

GoldPoint Team

Kevin Medina

Chief Compliance Officer

Mr. Medina is Chief Compliance Officer responsible for all regulatory matters related to GoldPoint.  Prior to joining the Firm in 2016, Mr. Medina was Chief Compliance Officer at Serengeti Asset Management LP, a New York based hedge fund. Prior to that he was Chief Compliance Officer at the investment banking firm Allen & Company LLC, as well as for their investment advisory business.  Kevin has also held senior compliance roles at  SPARX Group Co. Ltd., Allianz Dresdner  Asset management, Zurich Scudder Investments and Citibank’s Private Bank.  Kevin earned a BA in political science from Syracuse University and a JD from the State University of New York at Buffalo School of Law.  Mr. Medina holds FINRA Series 7, 24, 63, 79 and 99 registrations. 

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