FacultyFaculty/Author Profile
Edina Cavalli

Edina Cavalli

RBC Capital Markets
Managing Director
Toronto, ON, CAN

Edina Cavalli is a Managing Director at RBC's Legal Department and covers US Bank Regulatory matters. She is also RBC's US Company Secretary. Prior to that she served as Dodd-Frank and G20 Enterprise Program Regulatory Reform Liaison for TD and was responsible for TD's Volcker Rule conformance, amongst others. She was also Global Head of PE & PI and Risk as well as Americas Head of Funds & Advisory and IBD Advisory Compliance at Barclays in New York and served as CCO of an SEC registered investment adviser and co-headed the Americas IBD Compliance team on an interim basis. In these capacities she served on Barclays cross-disciplinary senior management teams addressing legislative changes (e.g. Volcker Rule, s165, Dodd-Frank, AIFMD, etc.) impacting on Barclays’ asset management and IB businesses in the U.S. and Europe. Prior to joining Barclays, Ms. Cavalli acted as in-house counsel to Carpathian Asset Management (formerely, Dawnay, Day Panterra) and worked as an investment banker at Morgan Stanley. She was also an associate with the debt capital markets practice of CMS Cameron McKenna and with the corporate finance and financial services advisory practice of Norton Rose in London. Ms. Cavalli is an English qualified solicitor and holds both a common law and a civil law degree.

  • twitter
  • LinkedIn
  • YouTube
  • RSS

All Contents Copyright © 1996-2019 Practising Law Institute. Continuing Legal Education since 1933.

© 2019 PLI PRACTISING LAW INSTITUTE. All rights reserved. The PLI logo is a service mark of PLI.