Chief Compliance Officer
Jessica serves as Chief Compliance Officer of Westminster Financial Securities Inc., she previously served as Operations Manager and joined Westminster in 2002. Jessica is registered as a Series 7 (General Securities Representative), Series 24 (General Securities Principle), Series 52 (Municipal Securities Representative), Series 66 (Uniform Combined State Law) and holds a Life, Health and Annuity license. Jessica is married with three children and in her free time enjoys spending time with her family and going to concerts.
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