BS, Berry College
Mr. Reckamp provides regulatory consulting services focusing predominantly on investment advisors. His activities include the design and maintenance of comprehensive compliance and training programs and the delivery of guidance related to complex regulatory matters. His professional experience spans over 20 years including as CCO; serving a variety of investment advisors, broker-dealers, and futures/commodity firms covering both traditional and alternative asset classes including real estate, private equity, and credit. Mr. Reckamp’s experience has resulted in broad knowledge of U.S. securities industry regulations with expertise in the Advisers Act and extensive experience in international AML regulations. Prior to joining Foreside, he served as a senior compliance professional for a large global alternative asset manager that operates in multiple international jurisdictions. Mr. Reckamp’s FINRA registrations/exams and state law exams include the Series 7, Series 24, Series 66, and the Securities Industry Essentials exam.