Scott serves as the FINOP and Principal for Finance, Operations, Options, General Securities, Futures and Municipal Securities. He manages the compliance infrastructure and participates in all aspects of the broker-dealer and Registered Investment Advisor business. He works with strategic planning for the firm and directly with our clearing firm. Scott manages the operational, administrative, human resource, finance, and legal arms of the firm. He currently holds FINRA series 4, 7, 24, 27, 53, 66 and 87 licenses.

Scott Register
Principal & FINOP
Register Financial
United States, Georgia, Atlanta
About Me
Profile Information
Principal & FINOP
Register Financial
Investment Team
Investor
RIA/Wealth Manager/Asset Manager
Atlanta
Georgia
United States
Jul 30, 2024
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