Lecturer Bios
                  
                    Jeanette Wingler
                    
Jeanette Wingler is Associate General Counsel in FINRA’s Office of the General Counsel. Ms. Wingler’s responsibilities involve a variety of regulatory areas, including recruitment practices, research analyst conflicts, Regulation S-P, and seniors and other vulnerable investors.
 
Prior to joining FINRA in 2014, Ms. Wingler was an associate at Dechert LLP, where she advised on regulatory and compliance matters for broker-dealers, investment advisers and investment companies. Ms. Wingler graduated from the University of North Carolina at Chapel Hill with a bachelor’s degree in political science and history. She has a law degree from Duke University School of Law.
                   
                  
                    Brooke Hickman
                    
Brooke Hickman is Director of FINRA’s Vulnerable Adults and Seniors Team 
(“VAST”). The mission of the Vulnerable Adults & Seniors Team is to deter, detect, 
and investigate the financial exploitation and abuse of seniors and vulnerable adults. 
Prior to joining VAST, Mrs. Hickman was a Cycle Examiner with FINRA’s Member 
Regulation Department in the Boca Raton District Office. Before coming to FINRA, 
she worked in the industry as a Financial Advisor and then in Operations at a large 
mutual fund company. Mrs. Hickman has undergraduate and graduate degrees in 
International Business.
                   
                  
                    Tom Mierswa
                    
Tom Mierswa, is Executive Director in the Branch Advisory Group of the Legal and 
Compliance Division of Morgan Stanley. He started his career on Wall Street as a 
senior litigation counsel, later turning to retail advisory law, which is his practice 
today. 
A graduate of Williams College and American University’s Washington College 
of Law, before joining Wall Street, Mr. Mierswa clerked on the District of Columbia 
Court of Appeals and served as an Assistant District Attorney and Senior 
Investigative Counsel in the New York County District Attorney’s Office under Robert 
M. Morgenthau. 
He has been an adjunct professor of law at Fordham University Law 
School, sits periodically as a FINRA arbitrator, is an active member of SIFMA’s Senior 
Investor’s Working Group and frequently presents on industry issues arising from the handling of accounts 
of senior investors.
                   
                  
                    Joel Sauer
                    
Joel Sauer joined Charles Schwab as the Director of Senior and Vulnerable Investor 
(SVI) Investigations in 2019. He began his financial services career as an 
Investigator and Assistant Director in Inspections and Compliance at the Texas State 
Securities Board. 
He then served as an Examiner and Examinations Branch Chief in 
the Fort Worth Regional Office of the U.S. Securities and Exchange 
Commission. Prior to joining Schwab, he was the Chief Compliance Officer for hedge 
fund manager Hayman Capital Management and then for private equity firm Lone 
Star Funds.
                   
                  
                    Jennifer Szaro
                    
Jennifer Szaro is Chief Compliance Officer for XML Securities, LLC a fully disclosed 
introducing broker/dealer and its affiliated investment advisory firm, XML Financial 
Group. Ms. Szaro is responsible for managing both firms' compliance 
infrastructures. Ms. Szaro joined the securities industry in 2000. She previously 
worked in the technology sector where she had experience in ecommerce, website 
hosting and product development. As the securities industry went through significant 
changes with higher regulatory demands, she took on more compliance and 
marketing related roles. 
In 2011, she became a senior level executive and Chief 
Compliance Officer of the broker dealer, then dually registered. In addition to her 
current role as CCO, she is the AMLCO, and alternative FINOP. In 2012, she completed FINRA’s Certified 
Regulatory and Compliance Professional Program (CRCP)®
. In 2018, she became a non-public FINRA 
Dispute Resolution Arbitrator, having qualified through the National Arbitration and Mediation Committee. 
In 
2019, she was appointed to serve out a two-year term on the FINRA’s Small Firm Advisory Committee 
(SFAC), serving as the 2020 Chair. She was re-appointed to serve a three-year term through 2023. Ms. 
Szaro holds the following FINRA registrations; Compliance Officer (CR), Introducing Broker-Dealer Financial 
and Operations Principal (FI), General Securities Principal (GP), General Securities Representative (GS), 
Investment Company and Variable Contracts Products Representative (IR), Municipal Securities Principal 
(MP), Municipal Securities Representative (MR), and Operations Professional (OS). Ms. Szaro is a graduate 
from the University of Rhode Island with a Bachelor of Science