Chief Compliance Officer
Michelle Ross joined Lombard International in April 2016 and is the Chief Compliance Officer in the Legal Department. Mrs. Ross is responsible for the myriad of regulatory issues confronting our businesses. In addition, Mrs. Ross teaches university students the importance of “investing for the future.” Prior to joining Lombard International, Mrs. Ross held compliance roles at Lincoln Investment Planning, Penn Mutual, Baker Tilly Virchow Krause (including its broker dealer and investment adviser affiliates) and Santander Bank and leadership roles at Prudential and Vanguard. She graduated from the University of Virginia with a B.A. in Mathematics and received an MBA from LaSalle University. Mrs. Ross holds the Certified Compliance & Ethics Professional (CCEP)® designation and Series 24, 7, 63 and 99 securities registrations.