Stephen Selby

Director, BD Compliance at Avantax

Stephen Selby is an experienced compliance and regulatory professional with a robust background in the financial services industry. Currently serving as Director of BD Compliance at Avantax Wealth Management® since June 2021, Stephen has previously held significant roles at Voya Financial Advisors and Symetra, where responsibilities included compliance oversight and managing teams of compliance professionals. Stephen's tenure at LIMRA saw the management of regulatory compliance practices and social media in financial services, generating substantial annual revenue. With earlier experience at Lincoln National Corporation, WS Griffith, and The Hartford, Stephen possesses a well-rounded understanding of regulatory frameworks, compliance training, and operational improvements. Stephen holds a Bachelor of Arts in English and Anthropology from the University of Connecticut.

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