Scott brings over 20 years of industry experience to his role as our Chief Compliance Officer.
He joined FinTech as Head Trader in 2006. Prior to that Scott worked with SunTrust Investment Services for 10 years as an Equity Trader and Customer Service Supervisor, where he worked directly with Financial Advisors and retail investors in a high volume trading environment.
Scott obtained his BSBA in Finance from Appalachian State University in his adopted home state of North Carolina and moved to the Atlanta area shortly after. He enjoys all things outdoors and keeping up with the active lifestyles of his wife Angie and their two children.
Licenses: Series 4, 7, 24, 55, 63