Gary M. Rosen is currently a Managing Director and the Global Head of Markets and Securities Services at Citigroup. He also serves as the Chief Compliance Officer for Citigroup’s primary broker-dealer and CFTC-registered swap dealers. Prior to joining Citigroup, Mr. Rosen was the Head of Compliance for Barclays Wealth Americas, the Wealth Management Division of Barclays Capital Inc. He joined Barclays from Lehman Brothers where he was the Director of Fixed Income Compliance and a Senior Regulatory Attorney. Before Lehman Brothers, Mr. Rosen was associated with the law firm of Cadwalader, Wickersham & Taft, specializing in securities and antitrust litigation. Mr. Rosen has a B.A., cum laude, from the University of Pennsylvania and a J.D., cum laude, from the Boston University School of Law, where he was the Editor-in-Chief of the Boston University International Law Journal.