Haven Financial Services
HFS Team 

 Quintano Downes
President & Chief Executive Officer
Mr. Downes began his Wall Street career at Gaines Berland and Company as a propietary equity trader, where he was responsible for trading the firm's capital to generate a profit.  Upon leaving Gaines Berland in 1999, Mr. Downes joined National Discount Brokers, the leading discount brokerage firm at the time, where he co-managed the institutional equity sales and trading desk, responsible for trading in aggregate several billion dollars in domestic and international shares per day.

Quintano joined Haven Financial Services in 2006 serving as Managing Director responsible for the day-to-day operations of equity and fixed income sales trading desk.  In 2009 Mr. Downes purchased a majority stake in APB Financial Group, the parent company of Haven Financial Services.  Quintano now handles the duties of Chief Executive Officer, where he oversees the day-to-day operation of the business, and has introduced a suite of new revenue sources including the launch of our fixed income platform, expansion of our capital introduction program and broader coverage of our independent research offerings.

Quintano serves as a mentor of the Wall Street & Scholastic Training Track (“FAST Track”) Program, and is the founder Tee 2 Green Golf Academy Inc., a non-profit organization whose mission is to introduce inner city kids in the greater NYC area to the game of golf.

Quintano has a BA in Business Management from Medgar Evers College, holds FINRA Series 7, 63, 66, 55 and 24 licenses.

Ed Coyle
Chief Compliance Officer
Mr. Coyle has served as the firms Chief Compliance Officer since 1996 and oversees the day-to-day activities, operations management, administration, regulatory/compliance issues and is involved in the firms strategic planning process.   Ed has more than 25 years compliance and operations experience in the financial services industry.  Prior to joining the firm, Ed held numerous positions at Shearson including Options Compliance Auditor and Compliance Manager.  He holds FINRA Series 7, 63, 4, 55, and 24 licenses.

Henry Avery
Institutional Sales Trader
Mr. Avery joined Haven Financial Services in July 2009 and is responsible for the development, execution, and expansion of institutional sales and trading activities. Henry graduated from the Johnson School (Cornell University) with an MBA in finance. FINRA Series 7 and 63 licenses.

Russell Rivera, CFA
Head Trader & Equity Strategist
Mr. Rivera is responsible for the development, execution, and expansion of the institutional trading platform and is involved with identifying new markets, developing trading ideas and new business opportunities.  Prior to joining the firm, Russell worked at Goldman Sachs as an ETF Specialist on the American Stock Exchange.  He served as the primary specialist in SPY, often executing over 20 million shares each day.  Additional responsibilities included trading domestic and international equity derivatives, program trading, as well as index and commodity futures trading.  Russell is a CFA Charterholder and graduated from Harvard University with a degree in economics.  He holds FINRA Series 7, 55, 63, and 66  licenses.
 
Cory Wolf
Director of Marketing
Mr. Wolf joined Haven Financial Services in 2006 and is responsible for developing strategic relationships with key business partners, as well as directing the marketing and sale of our operational and research services to the institutional asset management community. Prior to joining the firm Cory worked as an Operations Manager at the Dreyfus Corporation.  Cory has a Bachelor of Science in Finance from Syracuse University and holds FINRA Series 7, 63 and 24 licenses.

17 State Street Suite  1650 New York, NY 10004      Trading 212 293-3411      Fax: 212 785-0495    www.hfs-llc.com