Rob Stype, Co-Founder and CEO, manages ACA Compliance Group's ("ACA") overall business strategy. In addition, he provides regulatory and compliance consulting services to private funds, investment advisers, and investment companies. He also speaks regularly at industry conferences and publishes compliance-related articles in industry journals and periodicals.
Prior to ACA, Rob spent eight years at the SEC's Office of Compliance Inspections and Examinations, including a stint as Branch Chief. His primary responsibility there was conducting investment adviser and investment company examinations. During his SEC tenure, Rob received the Commission's Examination Award of Excellence, an honor issued annually to the examiner who contributes most to the examination program in terms of dedication, integrity, and performance.
Rob earned his B.B.A. in Finance summa cum laude from Clarion University.