BA, University of Maryland
Ms. Aracri provides compliance consulting to investment advisor clients, which may include providing advice and guidance on firm and individual registrations, examinations, firm policies and procedures, federal and state regulatory rule interpretations, and risk assessments. In addition she helped develop and support Foreside’s proprietary compliance workflow management system, ForesideConnect®. Prior to joining Foreside, she held roles as a General Securities Supervisor and a Financial and Operations Principal. She holds a FINRA Series 7, 24, and 27 registration and has more than 30 years of compliance and regulatory experience.