is a global brand operating through a number of professional firms and constituent entities located throughout the world to provide M&A Advisory and other client related professional services. The Member Firms are constituted and regulated in accordance with relevant local regulatory and legal requirements. For more details on the nature of our affiliation, please visit us on our website https://mergerscorp.com/disclaimer. MergersCorp M&A International is not a registered broker-dealer under the U.S. securities laws.
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The franchising program is offered by MergersUK Limited a UK Company with registered office at 71-75 Shelton Street, Covent Garden, London, WC2H 9JQ, United Kingdom
Marvin Rowe’s career spans a quarter century in financial services, capital markets, corporate finance and securities brokerage in the US and Europe, including over a decade in the European and Swiss financial services arena, where he gained expertise in licensed Swiss financial service companies as well as capital markets, corporate finance, private and public offerings (IPOs) and relevant compliance and legal issues.
In his current position, Marvin leads both the Swiss financial services companies (Swiss asset management, licensed money transfer companies, cryptocurrency exchanges, banking services companies, forex, trusts, and other financial services structures). Marvin is arguably the leading expert in Switzerland for money transfer and cryptocurrency exhange licensing, software platforms, compliance, legal and operations.
From 1998 to 2006, Marvin was employed by US securities firms in various capacities including Chief Executive Officer, Chief Compliance Officer, Financial & Operations Principal, Chief Operating Officer and Nasdaq Level III trader, and held the following US government registrations: Registered Securities Agent (S-7), General Securities Principal (S-24), Financial and Operations Principal (S-27) and Equity Trader Representative (S-55).
Marvin earned his Master of Laws (LL.M.) in International Banking & Finance Law from the University of Liverpool Law School (First Class Hons., Distinction) and was awarded the law department’s Dissertation of the Year award.
Marvin has been a licensed private pilot for airplanes since 1989 and for Helicopters since 2003.
Marvin Rowe’s career spans a quarter century in financial services, capital markets, corporate finance and securities brokerage in the US and Europe, including over a decade in the European and Swiss financial services arena, where he gained expertise in licensed Swiss financial service companies as well as capital markets, corporate finance, private and public offerings (IPOs) and relevant compliance and legal issues.
In his current position, Marvin leads both the Swiss financial services companies (Swiss asset management, licensed money transfer companies, cryptocurrency exchanges, banking services companies, forex, trusts, and other financial services structures). Marvin is arguably the leading expert in Switzerland for money transfer and cryptocurrency exhange licensing, software platforms, compliance, legal and operations.
From 1998 to 2006, Marvin was employed by US securities firms in various capacities including Chief Executive Officer, Chief Compliance Officer, Financial & Operations Principal, Chief Operating Officer and Nasdaq Level III trader, and held the following US government registrations: Registered Securities Agent (S-7), General Securities Principal (S-24), Financial and Operations Principal (S-27) and Equity Trader Representative (S-55).
Marvin earned his Master of Laws (LL.M.) in International Banking & Finance Law from the University of Liverpool Law School (First Class Hons., Distinction) and was awarded the law department’s Dissertation of the Year award.
Marvin has been a licensed private pilot for airplanes since 1989 and for Helicopters since 2003.