Paul Saint-Pierre

Chief Compliance Director at Bright Impact

Paul Saint-Pierre serves as Chief Compliance Director of Bright Impact. He is also the Principal Advisor of PSP Advisors. Paul’s professional experience features a consistent theme of alternative investment strategies, including: strategic advisory services, investment analysis, placement, and secondary-market transactions of various investment funds: and active principal in the design, creation and investment management of institutional quality, SEC-registered investment companies and business development companies. This includes their subsequent launch through retail, RIA and mass-affluent investor channels.

Paul has held senior executive positions including: Chief Financial Officer of corporate divisions, investment companies and business development companies; registered representative of registered investment advisors featuring alternative investment strategies; investment banker for real estate-related businesses; US REIT-sector investment analyst; registered Principal of broker-dealer firm that facilitated secondary-market transactions of securities issued by private-equity real estate funds; Portfolio Manager and Research Director of a global real estate securities investment program; and Principal Advisor to institutional investors regarding real estate investment strategies.

He earned a Master’s in Business Administration from the University of California, (Berkeley) Graduate School of Business in 1981.

Timeline

  • Chief Compliance Director

    Current role

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