President / Chief Compliance Officer
Michael Bignell is responsible for Integral’s regulatory compliance, governance and corporate administration.
Mike’s career spans three decades in the investment dealer industry. Prior to Integral he served in a vast array of roles including as CEO, COO and Director at a wide range of firms including carrying brokers (CT Securities, NBCN, Fidelity), self-clearing firms (Jones Gable, Dean Witter), introducing brokerage firms (Standard Securities), a protected marketplace ATS (Omega), and a foreign exchange firm (Velocity). Mike’s approach to compliance and risk management is grounded by extensive front line experience in all key functions of a brokerage firm.