BS, Robert Morris University
Ms. Grenda provides compliance consulting to investment advisor clients. She has extensive experience in investment advisor regulation and compliance, as well as a strong knowledge of private fund operations. Ms. Grenda consults with clients on a wide variety of investment management issues, including risk management, SEC compliance, establishing and evaluating compliance programs and implementing compliance policies and procedures.
Prior to joining Foreside, she held roles in risk management, internal audit and trading and operations for Federated Investors. Ms. Grenda is an Investment Adviser Certified Compliance Professional and has over 25 years of compliance, risk management and operational experience in the financial services industry.