Gregory “Greg” Bodkin is Revere Securities LLC’s Chief Compliance Officer, since July 2025, after spending two years as a Compliance Officer for the company. With nearly thirty years of experience in banking and finance, the last twenty-five years primarily in financial markets compliance, Mr. Bodkin is a seasoned veteran on a multitude of compliance matters. After beginning his career with a small retail broker/dealer, Mr. Bodkin began his foray into compliance working on the regulatory side of the industry with NASD Regulation and then NASD, Inc., the successor company to NASDR. After spending over five years with NASD, he moved on to become the Chief Compliance Officer of a mid-sized retail broker/dealer, followed by the CCO of a bond desk within a major international bank. In 2011, Mr. Bodkin returned to regulatory work with the rebranded FINRA, quickly regaining his position as a leading examiner within his division, and being relied on heavily to instruct new examiners and help them develop into leaders themselves. After six years, Mr. Bodkin returned to the retail side of the business, becoming the CCO of another mid-sized retail broker/dealer. When that company closed in 2021, because of COVID, Mr. Bodkin began working as a consultant with several companies until July 2023, when he started with Revere. Mr. Bodkin is married to his college sweetheart, and they have three children. In his free time, Mr. Bodkin likes to travel to historical sites (and travel in general), hike trails in upstate New York, read, and spend time with his family. He is also a high school football referee in New York and hopes to referee college someday.