Prumiys joined Alcentra in July 2014 and serves as Deputy Chief Compliance Officer for the New York office working with Steve Levinson, the U.S. Chief Compliance Officer.
Prior to joining Alcentra, Prumiys spent two years as the Chief Compliance Officer for Daiwa Asset Management America, a Latin American security focused registered investment advisor. Previously, Prumiys spent 8 years working at Keefe, Bruyette & Woods, Inc. where she was a Vice President in the Compliance Department and was primarily responsible for the financial services focused long/short equity hedge funds, equity managed accounts and private equity fund for the asset management subsidiary. Prior to joining Keefe, Bruyette & Woods, Inc., Prumiys was an Assistant Vice President in the Asset Management Compliance Department at Citigroup covering the North American Fixed Income Group at Citigroup Asset Management . The fixed income group encompassed over $250 billion AUM of emerging market, investment grade and high yield fixed income portfolios. Prior to Citigroup, Prumiys spent two years at Nomura Holdings America, Inc. where she was responsible for two fixed income registered investment advisors with focuses in distressed debt, emerging market and mortgage backed securities. Prumiys has over 17 years of experience in the compliance departments of major financial institutions.
Prumiys holds a B.A. in Economics from Barnard College, Columbia University and a J.D. from New York Law School.