Ann Keitner is a solutions-focused professional with over 30 years of diverse industry experience, particularly in regulatory compliance related to the Investment Advisers Act of 1940 and related FINRA rules. They held various significant roles, including Chief Compliance Officer at Hermes Fund Managers and Senior Principal Consultant at ACA Group, where they provide compliance consulting to investment advisor clients. Ann is recognized for their integrity and optimistic leadership, continuously staying informed about regulatory developments and enhancing compliance education and training. They earned a degree from Hobart and William Smith Colleges between 1990 and 1994.
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