Chief Compliance Officer
Mr. Reynolds is Chief Compliance Officer at SGA and responsible for all of the firm’s compliance functions. Prior to joining SGA, Mr. Reynolds was Senior Vice President, Senior Compliance Officer at PIMCO for more than eight years, where he was responsible for managing core functions related to regulatory and investment compliance, including personal trading, portfolio compliance, client certifications, and compliance training. Previously, Mr. Reynolds was a vice president in compliance at lncome Research & Management and held compliance positions with Geode Capital Management and Fidelity lnvestments. He has 16 years of compliance experience, holds a JD from Suffolk University Law School, and an MBA from Babson College. He received his undergraduate degree in Economics from the University of Utah. He is admitted to the bar in Massachusetts and Arizona.