The Compliance and Regulatory team at NEXT Financial Group is responsible for ensuring that the firm adheres to all regulatory requirements and industry standards. This team conducts due diligence, monitors transactions for compliance, and performs branch examinations to mitigate risk. They also manage licensing processes for representatives and provide oversight on anti-money laundering practices, safeguarding the firm's integrity and supporting its mission of empowering Investment Advisor Representatives.
Alex Krusemark
Surveillance Analyst
Angel Torres
Compliance Specialist
Christopher Buchanan
Licensing Specialist
Christopher Toliver
Branch Examinations Specialist
Cyndi Hunley
Licensing Specialist
David Calderhead (Da...
Sales / Compliance / Due Dilig...
Denosha Prince
AML Analyst
Keith E. Kasowski
Compliance Analyst
Paul Hearren
Compliance Analyst - Legal
Tammy McCadden
Vice President, Compliance Man...
View all