Theresa M. Sekely
BS, University of Pittsburgh
Ms. Sekely provides compliance consulting services to registered investment advisors and specializes in the development, ongoing maintenance and testing of compliance programs, as well as the drafting of policies and procedures. Ms. Sekely has over 20 years of experience in the financial services industry and holds FINRA Series 7, 65, 66, 79 and 99 registrations. Prior to joining Foreside, she served as the Chief Compliance Officer for a registered investment advisor.