Practice Expertise

  • Dinsmore Compliance Services
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Areas of Practice

  • Dinsmore Compliance Services
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Profile

Andy has more than 20 years of financial industry experience specializing in risk management and compliance. He has held various CCO, director, and senior management positions at broker dealers and registered investment adviser organizations, including Fidelity Investments, Western & Southern, Securities America, and Merrill Lynch/Bank of America. His previously held professional licenses include the FINRA Series 7, 63, 24, 9, 10 and 66 licenses.

Education

  • Northern Kentucky University (B.A.)
    • Organizational Leadership

Areas of Practice

  • Dinsmore Compliance Services

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