Ms. Vega joined Rialto in 2019 as the Company’s Chief Compliance Officer with oversight of regulatory and compliance matters of the Securities and Exchange Commission (“SEC”) registered investment adviser Rialto Capital Management, LLC. Prior to Rialto, Ms. Vega served as Deputy Chief Compliance Officer of the Real Estate Group at The Blackstone Group in New York, New York with responsibility for the compliance program across the groups 11 SEC registered investment advisors.
Prior to that, Ms. Vega held roles of increasing responsibility in the Governance, Risk and Regulatory practice at Deloitte & Touche, LLP. From 2010 to 2016, Ms. Vega provided regulatory, compliance and operational consulting to clients in the financial services industry. Prior to Deloitte & Touche, LLP, Ms. Vega was an examiner with NYSE Regulation, later renamed FINRA. Ms. Vega received a B.A. from New York University and earned a M.S.L. in Corporate Compliance from Fordham University School of Law.