Justin Rosen is Global Chief Compliance Officer at Natixis Investment Managers and is a member of the firm’s Management Committee.

Justin has held multiple compliance and risk-related roles since joining Natixis Investment Managers in 2013, most recently as Head of Compliance and Internal Control for North America and Asia Pacific (APAC), where he administered the firm’s Enterprise Compliance Program, which is the overarching compliance framework applicable to the firm’s investment management subsidiaries. Justin previously served as Head of Compliance and Risk, North America. Prior to joining Natixis he was a Director at Fidelity Investments where, among other roles, he managed regulatory interactions for the firm’s institutional brokerage business and managed several firm-wide compliance programs. He started his career at the Boston Stock Exchange in the Office of the General Counsel.

Justin holds a BS in finance from the Boston University Questrom School of Business and a JD, cum laude, from the Boston University School of Law.

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