Suzanne Bond Named Senior Vice President, Chief Compliance Officer of Inland Securities Corporation
Alyssa Campbell
Inland CommunicationsApril 22, 2015
Oak Brook, lll. – Inland Securities Corporation (“ISC”), the managing broker dealer for Inland Real Estate Investment Corporation (“Inland Investments”), announced today that Suzanne L. Bond has been named senior vice president, chief compliance officer. Ms. Bond will be responsible for providing compliance-related direction in connection with sales, marketing, investment management, investment operations and product and channel development for ISC and Inland Investments. In addition, she will work closely with broker dealers, regulatory organizations, external auditors and various other industry associations.
“We are pleased to welcome Suzanne to ISC. Her experience in financial services compliance, sales and operations complements our corporate culture,” said Curtis Shoch, president and national sales director of ISC. “Our leadership team looks forward to working closely with Suzanne to continue our company’s success.”
Prior to joining ISC, Ms. Bond recently served as vice president, capital markets at Wedbush Securities, a leading financial services and investment firm. Prior to Wedbush Securities, she served as vice president and chief compliance officer of MidAmerica Financial Services, Inc./Monticello Investment Services, an independent broker dealer and registered investment advisor, where she was responsible for recruiting, training, sales supervision, client relations, new product due diligence and sponsor relations for alternative investments. Over the course of her more than decade-long career, Ms. Bond has also served as chief compliance officer for independent broker dealer and investment advisory firms, both retail and institutional, including KBR Capital Markets, LLC, VFG Securities, Inc., VFG Advisors, Inc. and Madison Avenue Securities, Inc.
Ms. Bond holds FINRA Series 7, 24, 63, 66, 79 and 99 licenses and is a frequent industry conference guest speaker.
“We are pleased to welcome Suzanne to ISC. Her experience in financial services compliance, sales and operations complements our corporate culture,” said Curtis Shoch, president and national sales director of ISC. “Our leadership team looks forward to working closely with Suzanne to continue our company’s success.”
Prior to joining ISC, Ms. Bond recently served as vice president, capital markets at Wedbush Securities, a leading financial services and investment firm. Prior to Wedbush Securities, she served as vice president and chief compliance officer of MidAmerica Financial Services, Inc./Monticello Investment Services, an independent broker dealer and registered investment advisor, where she was responsible for recruiting, training, sales supervision, client relations, new product due diligence and sponsor relations for alternative investments. Over the course of her more than decade-long career, Ms. Bond has also served as chief compliance officer for independent broker dealer and investment advisory firms, both retail and institutional, including KBR Capital Markets, LLC, VFG Securities, Inc., VFG Advisors, Inc. and Madison Avenue Securities, Inc.
Ms. Bond holds FINRA Series 7, 24, 63, 66, 79 and 99 licenses and is a frequent industry conference guest speaker.