The Compliance Team at Private Advisor Group ensures that all financial advisory practices adhere to regulatory standards and internal policies. They provide guidance, support, and oversight to advisors, helping them navigate compliance requirements while focusing on their core business. This team conducts training, audits, and ongoing assessments to maintain high compliance standards, safeguarding both the firm and its clients.
Annie Sullivan
LPL Registered Principal, Comp...
Bob Vogt
Compliance Associate
Cari Smith
Compliance Director
David Farley
Transition Specialist
Katherine Switzer
Compliance Liaison
Klaudia Maslo
Compliance Manager
Michael Verratti
LPL Registered Principal, Comp...
Sean Sullivan
RIA Registration & Legal Couns...
Shelley Reeves
LPL Registered Principal & Com...
Victor Alfieri
Compliance Specialist
View all