John Taylor-Jones

John Taylor-Jones is an experienced compliance professional who currently serves as the Chief Compliance Officer at Private Client Services (PCS). With a background in finance and management, John has held various compliance and managerial roles throughout their career, including positions at Blue Mountain Consulting LLC, HighQuest Partners, and Prudential Financial. John's expertise lies in providing compliance consulting services to the investment community and overseeing operational functions within broker/dealers. John holds a Bachelor of Business Administration from the University of Cincinnati and is registered with FINRA.

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Louisville, United States

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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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Employees

51-200

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