Chief Compliance Officer
As Chief Compliance Officer of Integrated Advisors Network, LLC, Danielle Tyler is responsible for all compliance and regulatory matters related to Vineyard Global Advisors, including development of policies and processes designed to achieve compliance with regulations and establish best practices.
Danielle is an accomplished compliance executive with 13 years of experience. Before joining the team in July 2021, she was Chief Compliance Officer for Retirement Wealth Advisors, Inc. and FormulaFolio Investments, LLC, two SEC-Registered Investment Advisors in Grand Rapids, Michigan. She also spent 12+ years as Chief Compliance Officer and Supervising Principal of MEA Financial Services, Inc.’s Investment Division where she reviewed investment sales, conducted oversight of school district 457 plan documents, and built and maintained effective relationships with investment company vendors.
She earned a MBA degree in Finance at Davenport University and a B.A. degree in Organizational Communication at Michigan State University.
Vineyard Global Advisors, LLC (“the Adviser”, “Vineyard Global Advisors”, or “VGA”) is a DBA of Integrated Advisors Network, LLC (“Integrated”). Integrated is an SEC registered investment advisor. Registration does not imply a certain level of skill or training. VGA is affiliated with, but not under common control of, Integrated.
More information about Vineyard Global Advisor, including our investment strategies, fees and objectives, can be found in our Form ADV Part 2A and our Form CRS.
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