Drew Barraford, CFA, is a seasoned compliance professional with 20 years of experience designing and executing financial regulatory programs. Drew began their career as a Compliance Analyst at Upromise Investments, Inc. before advancing to various roles at FINRA, including Risk Monitoring Director and Principal Examiner. Currently, Drew serves as the Director of Compliance at Fidelity Investments, where they leverage their expertise in public speaking, mentoring, and data analytics. Drew holds a Bachelor’s degree in Pure/Applied Mathematics from the University of Massachusetts, Amherst.
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