Johnson Investment Counsel
Scott Bischoff, IACCP, has extensive experience in the financial industry and education. Scott began their career at Johnson Investment Counsel in 1988, where they served as the Chief Compliance Officer and Principal. In this role, they were responsible for risk management, audit, and regulatory activities. Additionally, they were actively engaged with the Gift Fund Board as Vice President of the Johnson Charitable Gift Fund. In 1999, Scott joined the University of Cincinnati as an Adjunct Professor in the College of Business Administration. Here, they taught various classes focused on leadership principles, execution, and strategic planning until 2006.
Scott Bischoff, IACCP, obtained a Bachelor of Science (BS) in Finance from the University of Dayton in 1988. Prior to that, they attended Elder High School from 1980 to 1984. Later, they pursued a Master of Business Administration (MBA) from the University of Cincinnati, completing the degree between 1996 and 1999.
Johnson Investment Counsel
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Johnson Investment Counsel is one of the nation's largest independent RIAs, currently serving clients in 49 states. As a fee-only wealth management firm, we proudly embrace our fiduciary duty to our clients—meaning we have a legal obligation to put your interests above our own. Through Johnson Private Client Group, Johnson Trust Company, and Johnson Asset Management, we serve individuals, corporations, retirement plans, foundations, and endowments. Johnson Investment Counsel, Inc. was founded in 1965 under the principle that clients are our top priority. Our dedication to service stems from our passion to provide sophisticated solutions to our clients, partnering with them to develop long-lasting relationships that span generations. As an independent company, the owners of our firm are also employees. Instead of focusing on the expectations of external shareholders, you are working with people who have a vested interest in your success.