Cindy A. Armine is Director of Compliance for Citi's Global Wealth Management division. She is responsible for leading the compliance teams of The Citi Private Bank, Citi Smith Barney Private Client, and Citi Investment Research.
Cindy has been with Citi and its predecessor firms for 25 years and has served as Compliance Director of various Citi businesses since 1994. Before being named Global Head of Compliance for Citi Smith Barney's Private Client Group and Equity Research businesses in 2004, she was the U.S. Director of Compliance for Citi Markets & Banking and Citi Smith Barney businesses. |