Seventy2 Capital
Christine Roberts is an accomplished compliance professional with extensive experience in the financial services industry. Currently serving as Compliance Director at Seventy2 Capital Wealth Management since August 2022, Christine's career spans over two decades, including prominent roles such as Regional Supervisor and Vice President at Wells Fargo Advisors from April 2012 to August 2022. Previous positions include compliance roles at Patrick Capital Markets, LLC, and Gateway Compliance Consultants, LLC, as well as leadership positions at Wells Fargo Advisors, A.G. Edwards & Sons, Inc., UMB Bank, and Edward Jones. Christine holds an education from Maryville University of Saint Louis, where studies were undertaken between 2005 and 2008.
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Seventy2 Capital
We serve successful individuals, families, business owners, and executives by helping define their most important financial goals, crafting a plan in pursuit of those and then consistently executing to help make our clients' aspirations a reality.