Elizabeth Emory

Senior Compliance Officer at Laird Norton Wealth Management

As a senior compliance officer at LNWM, Elizabeth monitors, tests, enhances and develops the firm’s compliance program. Her work includes helping to implement existing and new compliance policies and procedures as well as risk management functions for both the registered investment advisor and the trust company. She also has primary responsibility for coordinating the firm’s response to all regulatory exams and inquiries. Before joining LNWM in 1998, Elizabeth worked at two major Seattle law firms, as project analyst at K&L Gates and legal editor at Perkins Coie.

She is a Certified Fiduciary & Investment Risk Specialist®. She holds a B.A. in English from University of Washington and an MBA from the University of Washington.


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