Jill Floden
Compliance Manager
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Business is an ever-changing landscape, so I enjoy reviewing new and existing regulations to figure out how they affect our stakeholders. I then educate and train others on the best practices to do the right thing for our clients.
Jill holds significant experience in the financial services industry in both advisory and brokerage sides of the business. Prior to joining Eide Bailly, she worked as a Chief Operating Officer and compliance securities principal for a regional broker dealer. It's her responsibility to ensure Eide Bailly's Financial Services is in compliance with the SEC, FINRA, state rules and regulations as well as our strategic partners. To do so, she performs surveillance risk related to compliance analysis and addresses accordingly.