Chief Compliance Officer

Bob re-joined Acropolis in 2015 and currently serves as the Chief Compliance Officer.  He was previously with Acropolis from 2007-2010 as a Portfolio Administrator.  He is responsible for overseeing Firm compliance, operations and support.

Bob began his financial services career in 1995 with Waterhouse Securities (now TD Ameritrade).  He served in many roles during his 10 years with TD Ameritrade, including branch manager of the Clayton office from 1999 – 2005.  After TD, he spent a total of seven years with US Bank, where he spent two years as a field compliance examiner and five years creating/managing the quality control function of the Bank’s regulatory testing group.

Bob earned a B.S. in Marketing from Millikin University.  He is a registered investment advisor representative as well as an Investment Advisor Certified Compliance Professional® (IACCP®).