Scott assists Focus and its partner firms with legal and regulatory matters, including new business and strategic initiatives.
Prior to joining Focus, Scott was the Chief Compliance Officer for BNY Mellon Wealth Management, where he also served as CCO for a registered investment company. His prior experience includes in-house experience at leading financial institutions providing guidance on investment management and brokerage matters. He began his career as an associate in the Corporate Department at Rosenman & Colin.
Scott earned his J.D. from the George Washington University National Law Center, where he served on the Law Review, and his B.B.A. from Emory University.
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