Chief Compliance Officer
Jessica has served as IAA’s Chief Compliance Officer since February 2014. Her primary responsibilities are to proactively identify, evaluate, manage, and report on compliance and ensure IAA’s compliance with outside regulatory requirements and internal policies. As an executive leader, Jessica also manages human resource responsibilities for the firm.
Jessica started her financial services career in 2006 at LPL Financial in New Accounts, where she was promoted to Supervisor and then Manager. Prior to joining IAA, she served as an OSJ- delegate for TriCapital Financial Group, Inc. and Project Manager for Impact Technologies Group, Inc. Her previous experience also includes Claims and Policy Services for Progressive Insurance.
Jessica earned a Bachelor of Arts degree in English from Baldwin-Wallace University in Berea, Ohio. She also holds her Series 7 and Series 24, held with LPL Financial and Series 66 registration held with LPL and IAA.
Originally from Cleveland, Ohio, Jessica lives in Matthews, NC with her husband, twin children, and their Scottish Terrier, Wallace. In her spare time, she enjoys volunteering, horseback riding, running, and spending time with her family.