
Jen Schuette
Senior Compliance Analyst
With a career in the financial services industry spanning over three decades, Jen brings deep expertise in regulatory compliance and advisory oversight. Since entering the industry in 1995, Jen has accumulated over 25 years of compliance experience, including more than a decade serving as a Chief Compliance Officer. Jen has held multiple FINRA licenses in the past, including Series 7, 24, 27, 53, and 66, and is currently licensed in Colorado for life and health insurance. Their extensive background reflects a strong commitment to regulatory excellence and advisor support.

Jen Schuette
Senior Compliance Analyst
With a career in the financial services industry spanning over three decades, Jen brings deep expertise in regulatory compliance and advisory oversight. Since entering the industry in 1995, Jen has accumulated over 25 years of compliance experience, including more than a decade serving as a Chief Compliance Officer. Jen has held multiple FINRA licenses in the past, including Series 7, 24, 27, 53, and 66, and is currently licensed in Colorado for life and health insurance. Their extensive background reflects a strong commitment to regulatory excellence and advisor support.
