MyWallSt
Kristen has over 25 years experience in the financial industry, in a wide variety of roles. She has acted as both Director of Operations and Chief Compliance Officer in the investment advisory sector. Her background includes trading operations, back-office management, and everything that falls under the Compliance umbrella. Kristen holds a FINRA Series 65 license.
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MyWallSt
Everyone should be able to own their financial future. MyWallSt is here to guide and support you in your investing life.