JACQUE GLENN

Chief Compliance Officer

Educational Background

  • B.A. Education, Southwestern Oklahoma State University, 1987

 

Business Experience

Jacque joined FAS in 2022 as an Investment Adviser Representative and is the Chief Compliance Officer responsible for administering, monitoring, and testing compliance with FAS policies and procedures.  Jacque has been in the financial services industry for more than 25 years, most recently serving as the SVP, Chief Supervisory Officer, for a large Broker Dealer/RIA in the Kansas City area.

 

Additional information about Jacque is available on the SEC website at www.adviserinfo.sec.gov.

∗  Denotes Shareholder of FAS Wealth Partners, Inc.