Kimberly Donovan


Kimberly began her career in 1985 as a financial analyst at the Chicago Board of Trade.  In 2002, after a ten year hiatus, she returned to the workforce and joined Podesta & Co. Initially performing administrative and operational duties, she now serves as Chief Compliance Officer and municipal investment banking specialist.  Kimberly is responsible for, among other things, establishing and implementing written policies and procedures designed to comply with industry regulations, specifically; FINRA, MSRB and SEC regulatory bodies. She earned a B.A. in Business Administration, finance major and accounting minor, from Marquette University.  She holds FINRA Series 7, 24, 28, 63, 79 and 99.