SUZANNE HAMMER

Chief Compliance Officer
“Strong compliance isn’t a constraint on serving clients well. It’s the foundation of the trust that makes it possible.”

PROFESSIONAL HIGHLIGHTS

  • 22 years of compliance experience and more than 25 years in the financial services industry
  • Most recently a Director at Vigilant Compliance LLC, where she developed, tested, and monitored compliance programs for registered investment advisers, including 206(4)-7 annual compliance reviews and 38a-1 compliance program reviews
  • Has served as Chief Compliance Officer for registered investment advisers serving individuals, high-net-worth families, institutions, charitable organizations, registered investment companies, and private funds
  • Former Compliance and Regulatory Relations Director at Morgan Stanley, where she coordinated the firm’s responses to securities regulators including the SEC, CFTC, FINRA, and self-regulatory organizations, and earlier a Compliance
  • Manager at Armstrong Shaw Associates, an SEC-registered investment adviser
  • Began her career as a Portfolio Manager and Vice President of money market funds and short-term investments at Alliance Capital Management; holds a BA from Saint Michael’s College

22

Years of Experience in Compliance

A FAMILY OFFICE BUILT FOR DEFINING MOMENTS

Purposeful investing and Family Office leadership that protects your continuity across generations.