Mercer Advisors
Tori Erker, CIA®, IACCP®, currently serves as the Chief Compliance Officer at Mercer Advisors, having transitioned from the role of Senior Manager for Compliance Monitoring and Testing since January 2022. In this capacity, Tori oversees the 206(4)-7 annual testing schedule and manages a team of compliance analysts dedicated to monitoring both legacy and acquired firm activities. Prior experience includes serving as Compliance Manager at My RIA Lawyer, where Tori managed the Compliance Department for a law firm focused on regulatory compliance for RIA/BD and private fund companies. Tori also held the position of Compliance Manager at Edelman Financial Engines, responsible for supervisory oversight of transaction and account reviews for numerous investment advisor representatives while supporting regulatory exams and audits. Tori began the career as a Financial Services Representative at MetLife Premier Client Group of the Mid-Atlantic and holds a Bachelor of Business Administration degree in Finance from Columbia Southern University.
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