Romina Romei

Legal/Compliance Analyst

Romina works closely with our General Counsel & Chief Compliance Officer, Martha Mensoian, to help address legal and compliance matters involving Ethos.

She most recently worked as a Research Associate for the Fidelity Institutional Wealth Adviser team, conducting manager research and fund selection supporting institutional clients and investment advisers.

Prior to that Romina worked as a Compliance Analyst on Fidelity Investment’s Trade Monitoring and MNPI team, performing all pre-trade and post-trade compliance for all Fidelity Associates and their covered people.

  • Suffolk University,
    M.S. in Finance
  • Suffolk University,
    B.S.B.A. in Finance