Tom Watson joined Ryan Labs in 2017 as Director, Compliance.
Prior to joining Ryan Labs, Tom worked for three years as a compliance consultant to SEC-registered investment advisers at Focus 1 Associates LLC, servicing approximately 50 clients of various profile and size.
Tom is responsible for day-to-day and routine compliance, including Ryan Labs’ annual compliance review process, in accordance with SEC, FINRA, NFA, and CFTC rules and regulations. Tom reviews and monitors Ryan Labs’ engagements with clients and counterparties.
He holds a B.A. in International Relations from Brown University.