Stillpoint Capital
Investment Banking Firm with a Securities Licensing Program for Registered Representatives who are active in the Investment Banking industry conducting M&A or Private Placements. Full-service Investment Banking Department and Consulting & Advisory Departments compliment the Securities Licensing Program and enhance the capabilities and distribution of the entire network of individuals. The firm upholds the independent brand name of each individual registered representative to the greatest extent possible and specializes in bridging the gap between FINRA and the Investment Banking industry. Securities transactions conducted through StillPoint Capital, member FINRA/SiPC. Use of third-party logos does not constitute an endorsement.
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Verified contacts
3
available on Kipplo
LinkedIn employees
3
11 to 50 range
Open roles
—
no listings
Distinct roles
2
indexed titles
Tech stack
1
tools in use
Monthly traffic
35
organic / mo
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Decision-makers and verified team members
3 contacts with verified email or phone · masked until revealed.
- JR
Jack Rubins
Senior Compliance Officer · Legal
EmailPhone - JM
Jennifer McGhee
Senior Compliance Officer · Legal
EmailPhone - RB
Ryan Bolton
Executive Vice President & CCO of Investment Banking · Finance & Accounting
EmailPhone
Showing 3 of 3 verified contacts
Top roles at Stillpoint Capital
2 distinct titles indexed · top 2 shown.
- 2senior compliance officer
- 1executive vice president & cco of investment banking
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