Bryan serves as a strategic advisor to clients on business and regulatory matters, with a focus on product development, licensing, and compliance. Bryan is recognized for his work within the fintech and Banking-as-a-Service industry, particularly as it relates to helping his clients develop innovative financial products, secure strategic partnerships, and build streamlined compliance programs.
Bryan was previously a principal at Promontory Financial Group and chief of staff for the financial crimes division. Bryan also served in the honors program at the Securities and Exchange Commission where he conducted risk-based examinations of various registrants, including equities and options exchanges. During his time at George Mason University School of Law, Bryan worked as a staffer at the Financial Services Roundtable on issues such as Dodd-Frank implementation.
Bryan earned a B.S. in Business Economics from Cortland State University and a J.D. from George Mason University School of Law.