Paul Lythberg is an accomplished compliance professional with extensive experience in regulatory compliance and operational management. Currently serving as the Chief Compliance Officer and Chief Operating Officer at Segall Bryant & Hamill since January 2013, Lythberg develops and maintains the firm's Code of Ethics, conducts SEC compliance reviews, and manages relationships with legal counsel and regulatory agencies. Previously, as the Assistant Chief Compliance Officer at Dougherty Financial Group LLC, Lythberg conducted compliance testing and oversaw registration processes. Additionally, Lythberg held the role of Investment Compliance Director at Allstate Investment Management Company, where responsibilities included implementing compliance programs, monitoring investment policies, and leading a team of compliance professionals. Lythberg holds a Bachelor of Arts in Business Administration and Accounting from Augustana College and a Master’s degree in Business Administration and Management from the University of Illinois Chicago.
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