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Brian Petraitis
Chief Compliance Officer at Mack Investment Securities, Inc.
Brian Petraitis is an experienced Compliance professional in the financial services industry with a strong background in Investment Advisor, Investment Company, Broker-Dealer, Securities Regulation, SEC, and FINRA.
Brian completed his education with a focus on Accounting, studying at Fort Lewis College and obtaining a BS in Accounting from Iowa State University - Ivy College of Business.
His professional journey includes key roles such as Chief Compliance Officer at Mack Investment Securities, Inc., Managing Consultant at Bovill, Vice President at Duff & Phelps, Assistant Vice President at Deutsche Bank, Consultant at ACA Compliance Group, Securities Compliance Examiner at the U.S. Securities and Exchange Commission, Senior Examiner at FINRA, and Intern at Mesirow Financial.