With over two decades of professional compliance and operational experience, my current role as Chief Compliance Officer at Skyline Wealth Management leverages my deep expertise in alternative investments. Our team’s mission aligns with regulatory standards to ensure integrity in the capital markets. Previously, I’ve held similar roles at SEI and Canoe Financial, where I’ve honed my competencies in overseeing compliance frameworks and fostering a culture of adherence to securities legislation. My dedication to excellence and ethical practices reflects organizations values and goals.
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