Chris Miesse has extensive work experience in the financial industry. Chris began their career in 2008 at First Tennessee Bank as a Financial Services Representative, where they worked until 2011. In 2011, they joined FTB Advisors and held multiple roles, including Processor II, Equity Trader-Registered Representative, and Vice President-Compliance Officer. In 2019, they moved to First Horizon Advisors as a Vice President-Senior Wealth Management Consultant. Chris has a strong background in investment management, compliance, and financial services.
Chris Miesse holds an M.B.A. in Finance from The University of Memphis, which they obtained between 2010 and 2012. Prior to that, they completed a Bachelor's degree in Business Administration with a focus on Finance, General, also at The University of Memphis, from 2003 to 2007. In addition to their academic qualifications, Chris has obtained various certifications. These include the Series 65 certification from the Financial Industry Regulatory Authority (FINRA), obtained in December 2015, the Series 24 certification from FINRA obtained in October 2014, the Series 63 certification from FINRA obtained in August 2012, and the Series 7 certification from FINRA obtained in May 2012. Additionally, they hold a Life Insurance certification from the State of Tennessee, although the dates of obtaining this certification were not specified.
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