Brad Hanus is an accomplished compliance professional with extensive experience in the financial services industry. Currently serving as Director of Compliance and Chief Compliance Officer at Principal Global Investors Trust Company since December 2015, Brad has held multiple compliance roles within Principal Asset Management, including Assistant Director Compliance. Prior experience includes serving as Lead Compliance Officer at Bank of the West and Senior Compliance Officer at JW Cole Financial, Inc., where responsibilities included reviewing complex investment transactions and developing compliance initiatives. Brad began their career in compliance at Securities America, Inc. and Cambridge Investment Research. Educational qualifications include a Doctor of Law (JD) from Stetson University College of Law and a BA in Sociology/History from Henderson State University.