Jill holds significant experience in the financial services industry in both advisory and brokerage sides of the business. Prior to joining Eide Bailly, she worked as a Chief Operating Officer and compliance securities principal for a regional broker dealer. It's her responsibility to ensure Eide Bailly's Financial Services is in compliance with the SEC, FINRA, state rules and regulations as well as our strategic partners. To do so, she performs surveillance risk related to compliance analysis and addresses accordingly.
When you work with Jill, you will see her passion for ethics and compliance in serving clients and advisors. She enjoys putting her expertise to work in whichever regulatory issue requires assistance to build a better client and advisor experience.
Outside of work, Jill enjoys spending time with family and friends at the lake and attending sporting events. She also enjoys traveling and volunteering in the community.