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Kevin Quinlan
Kevin Quinlan
Asst. Vice President - Investor Services and Markets | Loomis, Sayles & Company
Massachusetts, Arlington, United States
Kevin Quinlan
Summary
Kevin Quinlan is a seasoned compliance professional currently serving as the Director of Portfolio Compliance at Loomis, Sayles & Company in Boston, Massachusetts. With a strong background in compliance management, he has been instrumental in overseeing regulatory adherence and risk management within the organization. His career at Loomis began as a Vice President - Compliance Manager, showcasing his upward trajectory in the company. Kevin holds a Bachelor of Science degree from Westfield State University, where he developed a foundation in legal and compliance matters. He is known for his strategic approach to compliance and his ability to navigate complex regulatory environments. Outside of his professional commitments, Kevin may have interests in mentoring emerging compliance professionals and staying abreast of industry trends.
Kevin Quinlan
Work Experience
Asst. Vice President - Investor Services and Markets at
Brown Brothers Harriman & Co
February 2014 - June 2015
Vice President - Compliance Manager at
Loomis, Sayles & Company
June 2015 - Present
Director of Portfolio Compliance at
Loomis, Sayles & Company
March 2025 - Present
Kevin Quinlan
Education
Westfield State University, BS
January 1999 - January 2003
Frequently Asked Questions about Kevin Quinlan
What is Kevin Quinlan email address?
Kevin Quinlan's primary email address is *************@bbh.com. To view the full verified email and additional contact details, sign up for free with Muraena.
What company does Kevin Quinlan work for?
Kevin Quinlan is a Asst. Vice President - Investor Services and Markets at Loomis, Sayles & Company.
Where Kevin Quinlan graduated from?
Kevin Quinlan holds a degree in null from Westfield State University.
How can I directly contact Kevin Quinlan?
To contact Kevin Quinlan directly, you can use the email address *************@bbh.com. Complete contact information is available upon registration with Muraena.
Who is Kevin Quinlan?
Kevin Quinlan is a seasoned compliance professional currently serving as the Director of Portfolio Compliance at Loomis, Sayles & Company in Boston, Massachusetts. With a strong background in compliance management, he has been instrumental in overseeing regulatory adherence and risk management within the organization. His career at Loomis began as a Vice President - Compliance Manager, showcasing his upward trajectory in the company. Kevin holds a Bachelor of Science degree from Westfield State University, where he developed a foundation in legal and compliance matters. He is known for his strategic approach to compliance and his ability to navigate complex regulatory environments. Outside of his professional commitments, Kevin may have interests in mentoring emerging compliance professionals and staying abreast of industry trends.
Kevin`s contact details
*************@bbh.com
********@loomissayles.com
Colleagues
VP, Institutional Sales Administrator
Director, Operations Services
Credit Analyst
Manager - Investment Strategies Group
Research Analyst
Assistant Manager
Account Supervisor
Vice President
Vice President
Vice President Portfolio Specialist