Chief Compliance Officer
Cliff and his team manage the regulatory and risk management functions and support the board of directors and its committees, including fiduciary and audit committees. Prior to joining National Advisors, Cliff was CCO for The Mutual Fund Store system of registered investment advisors and CCO for American Century Investments’ two broker-dealers. Cliff has also worked at FINRA, where he was a Supervisor of Examinations. He earned a bachelor’s degree in accounting and business administration from MidAmerica Nazarene University.