Collin Whitten is a director and chief compliance officer with extensive experience advising SEC- and state-registered investment advisers. They have served as a compliance consultant and are recognized for providing strategic guidance on regulatory governance and risk management. Collin has designed scalable compliance frameworks and managed SEC examinations while collaborating with executive teams to address complex operational challenges. They hold a Bachelor’s degree in Music Therapy from The University of Alabama and have worked in various compliance roles across multiple organizations.
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