Ryan joined Frost Investment Advisors, LLC in November 2017, and has over 10 years of experience in the financial services sector.
As a Compliance Analyst II with the Adviser, Ryan works in tandem with other compliance personnel to verify the Adviser’s compliance with internal policies and procedures, specifically the Investment Advisers Act of 1940 requirements as they apply to registered funds and separately managed accounts. In addition, he also assists with the effort to conduct the due diligence and analysis of all marketing collateral produced by the Adviser.
Prior to joining the Adviser, Ryan worked as a senior investment representative for USAA Investment Management Company for over 5 years.
Ryan earned a Bachelor of Business Administration degree in International Business from the University of Texas at San Antonio (2006).