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Jillian Carlson

IACCP®, AIF®

Managing Director
Wealth Management | Regulatory Affairs
Chief Compliance Officer | Shareholder

“Each day since we started this firm together 20 years ago, we have focused on our clients. I think our clients would describe us as dialed-in, committed, competent, caring and passionate. I count myself very fortunate to work with such a dedicated team of colleagues.”

Jillian Carlson

IACCP®, AIF®

Managing Director
Wealth Management | Regulatory Affairs
Chief Compliance Officer | Shareholder

“Each day since we started this firm together 20 years ago, we have focused on our clients. I think our clients would describe us as dialed-in, committed, competent, caring and passionate. I count myself very fortunate to work with such a dedicated team of colleagues.”

Profile

Jillian was on the team that started the firm in 2005. Her career with the firm has focused entirely on regulatory compliance and she has served as the Chief Compliance Officer since 2017.

Jillian supervises and manages all regulatory compliance for the firm. She identifies regulatory compliance requirements and risks and designs policies, procedures and processes to prevent, detect and correct any actual or potential violations of applicable securities laws, regulations or other Federal and State laws. Jillian also works with outside regulatory compliance advisors and legal counsel to strengthen the firm’s regulatory and operational policies and procedures and the firm’s oversight capabilities.

Jillian serves on the six-member wealth management team for each client of the firm. She is an Investment Advisor Certified Compliance professional® and holds a post-graduate degree and multiple professional certificates. Jillian is a member of the National Society of Compliance Professionals.

Prior to joining the firm, Jillian worked at the tax practice of Bernard & Stallman, CPAs as a tax preparer. Jill resides in the Valley with her husband and five children and is active in her church and an active contributor to The Down Syndrome Diagnosis Network.

Professional Accreditation

Investment Advisor Certified Compliance Professional®
Accredited Investment Fiduciary®

Education

Master of Business Administration
     Keller Graduate School of Management

Postgraduate Diploma in Financial Planning
     New York University
     School of Professional Studies

Bachelor of Science in Business Administration
     DeVry University