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Vic Alboini
Chairman, President and Chief Executive Officer

Vic Alboini is Chairman, President and Chief Executive Officer of Northern Financial Corporation and Chairman and Chief Executive Officer of Northern Securities Inc., a subsidiary of Northern Financial Corporation. He was formerly Executive Vice President and Head of Mergers & Acquisitions at Yorkton Securities Inc., Managing Director, Mergers & Acquisitions of Loewen, Ondaatje, McCutcheon, President, Prenor Financial Ltd., and a securities lawyer with McCarthy & McCarthy (six years as a partner) specializing in mergers and acquisitions.

Mr. Alboini has his Bachelor of Arts (Political Science) and Bachelor of Law from the University of Toronto and his Masters of Law (Corporate Finance) from York University.


Doug Chornoboy
Chief Financial Officer

Mr. Chornoboy is the Chief Financial Officer of Northern Financial Corporation and Northern Securities Inc. Prior to joining Northern, Mr. Chornoboy was Senior Vice President and Controller at the Canadian Imperial Bank of Commerce. Mr. Chornoboy has over 20 years experience in the Canadian financial industry, primarily in senior financial managmeent capacities. Mr. Chornoboy is a Certified Management Accountant.


Kyler Wells
Legal Counsel

Mr. Wells is Northern Financial Corporation's General Counsel. He joined Northern in January of 2008 after working for several years as Legal Counsel to the Corporate Finance Branch of the Ontario Securities Commission. Prior to the OSC, Mr. Wells was an associate in the Corporate Finance and Securities group of Aird & Berlis LLP, a mid-sized Bay Street law firm in Toronto.

Mr. Wells was called to the Ontario Bar in 2002 after obtaining his law degree from the University of Ottawa in 2001. In 1997, he completed a Bachelor of Arts (Honours) at Simon Fraser University in British Columbia.


Frederick Vance
Chief Compliance Officer, Northern Securities Inc.

Prior to joining Northern Securities Inc. in 2006, Mr. Vance held similar positions at other investment dealers. He has over 18 years of compliance experience and has held senior managment postiions with both IIROC and MFDA Member firms. Mr. Vance has completed a number of industry specific courses, inlcuding the CSI Chief Compliance Officers, Partners Directors and Senior Officers and Branch Managers Courses.


Christophe Romary
Managing Director and
Head of Investment Banking, Northern Securities Inc.

Mr. Romary leads the investment banking group of Northern Securities Inc. Prior to joining Northern Securities Inc.in 2006, Mr. Romary was an investment banker with Loewen Ondaatje McCutcheon, Desjardins Securities, Yorkton Securities and National Bank, all based in Montreal.

Mr. Romary earned his MBA from ISA in France and his engineering degree, majoring in telecommunications, from ENSPM in France.