JO

John O'Byrne

Member Board Of Directors at National Advisors Trust Company

John O'Byrne is currently serving as the General Counsel & Chief Risk Officer at National Advisors Trust Company. John has extensive experience in providing legal advice on various laws and regulations related to banking, investments, securities, corporate governance, and regulatory compliance. Previously, John held positions as Sr. Vice President / Chief Compliance & Legal Officer at UMB Financial Corporation and Attorney at Law at The O'Byrne Law Firm. John has a Juris Doctorate from the University of Missouri-Kansas City School of Law and is currently pursuing Executive Education in Management & Leadership at MIT Sloan School of Management.

Location

Kansas City, United States

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National Advisors Trust Company

Enriching Lifelong Relationships. Relationships are built on a foundation of trust and integrity. At National Advisors Trust Company, we strive to deliver quality trust solutions while Enriching Lifelong Relationships with our trusted advisors and the clients they serve. At the end of the day, our goal is to safeguard an advisor’s most important asset--the relationship they have with their client. Our directed trustee model, coupled with nationwide trust administrative services, ensures advisors own the client relationship and all investment activities; NATC becomes a non-competitive extension of the wealth management team. NATC is a wholly-owned subsidiary of National Advisors Holdings, Inc. Founded in 2001, NATC has over $10 billion in assets under administration and continues to be the largest independent trust company in the United States. NATC is owned by Registered Investment Advisors, regulated by the Office of the Comptroller of the Currency (OCC) and is a member of the FDIC.


Employees

51-200

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