Jeremy Burton

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

Jeremy Burton is currently working as a Compliance Officer at Private Client Services (PCS) since February 2021. Prior to this, Jeremy worked as a Senior Advisor in Supervision at Raymond James from May 2018 to May 2019 and as a Compliance Principal/Leadership at SII Investments from September 2001 to April 2018. Jeremy also has experience as a Mutual Fund Service Representative at T. Rowe Price from September 2000 to May 2001. Jeremy holds a Bachelor of Science degree in Urban Forestry and Forest Recreation from the University of Wisconsin-Stevens Point, where Jeremy attended from 1995 to 1998 following their education at the University of Wisconsin-Fox Valley from 1993 to 1995.

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Timeline

  • Compliance Officer

    February, 2021 - present