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Scott Raider
Senior Compliance Officer (Junior CCO) at LifePro Asset Management
Professional Background
Scott Raider is a highly accomplished financial services professional with over a decade of experience in compliance and regional management. His career has spanned a diverse array of roles within both a privately held firm and the nation's largest independent broker-dealer. Scott's expertise lies in developing and implementing strategic plans aimed at achieving sustainable revenue growth, coupled with his hands-on management style which has proven effective in enhancing organizational performance. He has showcased an unwavering ability to manage multiple assignments efficiently, consistently meeting tight deadlines.
Supervision and Compliance
In his capacity as a Senior Compliance Officer at LifePro Asset Management, Scott has established and nurtured successful relationships with independent representatives, showcasing his exceptional interpersonal skills. His experience includes thorough knowledge of FINRA and SEC audit processes, ensuring that his firms adhere to regulatory standards. Scott's compliance expertise has enabled him to attract and maintain solid client relations, a skill that is crucial in the ever-evolving financial landscape.
Registered Investment Advisory Operations
Scott's operational sagacity is further highlighted by his role in Registered Investment Advisory Operations. Here, he has forged strategic partnerships with third-party asset managers, contributing to an increase in firm revenue and assets under management. His foresight in conducting market research and representative satisfaction surveys has allowed him to identify new product trends and opportunities, underscoring his commitment to enhancing client offerings. Additionally, Scott's responsibilities have included training staff and implementing critical policies and procedures, reinforcing the organizational culture of compliance and excellence.
Education and Achievements
Scott Raider earned his Bachelor's degree in Political Science from the prestigious University of California, Santa Barbara. His academic background laid a strong foundation for his analytical skills and critical thinking, which have proven invaluable throughout his career in financial services.
Throughout his tenure in various organizations, Scott has held pivotal roles that emphasize his expertise in compliance and risk management, including:
- Compliance Director at My Solo 401k Financial LLC
- Associate Vice President, Supervision at First Allied Securities, Inc.
- Compliance Supervision Analyst / Designated Principal at LPL Financial
- Financial Intelligence Unit Analyst at LPL Financial
- Risk & BSA Analyst at Trust Administration Services
- Loan Processor at South Coast Community FCU
Each of these positions has equipped Scott with the insights and practical knowledge necessary to navigate the complexities of financial regulations and compliance efficiently.
Achievements
Scott Raider's career is marked by significant achievements that reflect his dedication to the field of financial services. He successfully managed compliance audits, enhancing his firms' reputations and ensuring rigorous adherence to industry standards. His ability to implement strategic initiatives has led to remarkable improvements in revenue generation and client satisfaction, thereby establishing him as a trusted leader within his organizations.
Through his commitment to continuous learning and professional development, Scott remains at the forefront of compliance and finance, continually seeking opportunities to leverage technology and innovative practices that benefit his clients and organization alike. His exemplary record demonstrates his capability to inspire teams and effect positive change, making him a key player in the financial services landscape.