Jill M. Grenda
Jill M. Grenda is a Managing Director at Hardin Compliance Consulting LLC. She has worked in the securities industry for over twenty years, most of which were spent in internal audit, risk management, and compliance positions. Ms. Grenda has extensive experience in investment adviser regulation and compliance, as well as a solid knowledge of private fund operations. She consults with clients on a variety of investment management issues, including risk management, SEC compliance, establishing and evaluating compliance programs and implementing compliance policies and procedures. Ms. Grenda has worked with a number of clients on SEC examinations and serves as Chief Compliance Officer for certain clients.
Prior to joining Hardin Compliance Consulting LLC in April 2011, Ms. Grenda managed a unit of the investor services risk management department at Federated Investors, Inc., where she oversaw the intermediary due diligence and account initialization monitoring processes. She also served as a manager in the internal audit department, where she managed financial, operational, and compliance audits. During her tenure at Federated, Ms. Grenda spent several years managing the trading and operations of Edgewood Services, a broker-dealer subsidiary. In addition, she worked as a client services manager where she managed client relationships supporting the retirement and insurance markets.
Ms. Grenda graduated from Robert Morris University in 1995 with a bachelor of science in accounting.Back to Team Page