Martin
Nigro, CFP, CAMS
Martin is the Founder and Principal of Edge Compliance Advisors, which provides securities and AML/ATF advisory services to securities registered and financial planning firms ranging from building comprehensive compliance programs to delivering specific mandates like examination readiness, effectiveness reviews, policies and procedures, as well as training. In addition, Martin also holds the position of Chief Compliance Officer under the Shared CCO Model for select firms.
Prior to this, over the course of six years, Martin was the Chief Compliance Officer for the Global Asset Management, Private Wealth, and the fund distribution business lines of HSBC Canada. Earlier in his career, he worked at CIBC Asset Management, Mercer in Ireland, and had a financial planning practice with Investors Group.
Martin is a graduate of Concordia University where he received a Bachelor of Commerce in Finance and Marketing. He is also a Certified Financial Planner (CFP) and holds a certification from the Association of Certified Anti-Money Laundering Specialists (ACAMS).