Matthew S. Hardin is a securities attorney and regulatory compliance consultant, mediator, and arbitrator, and is licensed to practice law in Pennsylvania, Missouri and Illinois. Mr. Hardin consults firms throughout the United States on regulatory legal/compliance/risk management issues, performs due diligence and compliance reviews and internal investigations of SEC registered broker-dealers, investment advisers and investment companies. He gained his experience through over 20 years in the financial services industry, including 6 years with the broker-dealer and investment adviser affiliates of The PNC Financial Services Group, Inc.; 3 years with the mutual fund complex of Federated Inv


Matthew S. Hardin
Chief Compliance Officer
Foundation Wealth Management
United States, Missouri, Clayton
About Me
Profile Information
Chief Compliance Officer
Foundation Wealth Management
Operations Team
Investor
RIA/Wealth Manager/Asset Manager
Clayton
Missouri
United States
Feb 18, 2025
Work Experience
Foundation Wealth Management
Chief Compliance Officer
Email: mhardin@fwmria.com
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