Jeremy Burton

Compliance Surveillance Officer at Private Client Services (PCS), Member FINRA, SIPC

Jeremy Burton is a Compliance Officer at Private Client Services with previous experience as a Senior Advisor at Raymond James and Compliance Principal at SII Investments. Jeremy also worked as a Mutual Fund Service Representative at T. Rowe Price. Jeremy holds a Bachelor of Science in Urban Forestry and Forest Recreation from the University of Wisconsin-Stevens Point.

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Private Client Services (PCS), Member FINRA, SIPC

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PCS is a full-service, RIA-friendly Broker Dealer and SEC Registered Investment Advisor. We are growing by dually registering like-minded, hybrid RIA's/IAR's. We are solely focused on servicing the needs of successful, independent advisors and reps allowing you the time to grow your profits. Let our independence ignite yours! PCS is licensed as a Broker Dealer in all 50 states. Our headquarters is in Louisville, KY. We have more than 70 branch offices coast-to-coast.


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