Tami Pester

Director, Compliance Services at Foreside Financial Group

Tami Pester has a diverse work experience in the financial industry, primarily focusing on compliance roles. Tami started their career in 1992 as a Compliance Specialist at State Street Global Advisors and later became a Compliance Officer and Principal. From 1998 to 2001, they worked at Standish Mellon Asset Management, where they held the positions of Assistant Manager, Compliance Officer, and Vice President. Tami then joined Rice Hall James & Associates, LLC as the Chief Compliance Officer from 2004 to 2007. In 2008, they served as a Contract Paralegal at MetLife, Variable Annuity Products, and subsequently worked as an Associate Counsel and Compliance Officer at Acadian Asset Management from 2008 to 2012. Since 2014, Tami has been the Director of Compliance Services at Foreside Financial Group, LLC.

Tami Pester attended Emerson College from 1990 to 1992, where they obtained a Bachelor of Science (B.S) degree in Communication. Following this, they pursued a degree in law at Suffolk University Law School from 1996 to 2000. Tami's focus during their law studies was on Financial Services. In June 2003, they also obtained certification as a Member of the Massachusetts Bar from the Board of Bar Overseers.

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Timeline

  • Director, Compliance Services

    March, 2014 - present