BOARD OF DIRECTORS
Chief Operating Officer
Matt has over 16 years of operational and compliance experience in the financial industry. Previously he ran Financial Services Consulting for McGladery nationally, and prior to that he served as the Chief Compliance officer for HighTower Advisors, one of the largest Independent financial advisor firm’s in the country. While at HighTower he served as President of two regulated entities, and a member of an inaugural management team supporting the growth from start-up to +$25B in assets, 200 employees, 37 advisory teams and $100 million of revenues in 4 years. He was also responsible for strategic relationships and integration management, product development, all compliance and risk management of the firm. A member of SIFMA, Matt holds FINRA series 4,7,24,27 and 66 licenses, and is an Accredited Investment Fiduciary.