JACQUELINE CAMPBELL

COMPLIANCE OFFICER / INVESTOR RELATIONS
Jackie Campbell is primarily responsible for assisting the Chief Compliance Officer with SEC regulatory compliance obligations. Jackie is also responsible for assisting with Investor Relations, working with high-net-worth investors and Buchanan’s Registered Investment Adviser (“RIA”) relationships. Prior to joining Buchanan, Jackie was employed for eight years at Advisor Solutions Group, Inc., a regulatory compliance consulting firm, starting as Administrative Assistant and working her way to Compliance Analyst, and finally Compliance Consultant. In her role as Compliance Consultant, she assisted RIAs with their regulatory compliance requirements which included filing disclosure documents, performing Annual Review testing, reviewing marketing materials, and providing consulting services. Jackie graduated from California State University Long Beach with a Bachelor of Science degree in Business Administration with a concentration in Finance.