Chief Compliance Officer
Jim Kennedy serves as the Chief Compliance Officer for BHG, seamlessly administering BHG's Compliance Risk Management Program, leading and directing the compliance department, and identifying strategic compliance-related objectives. He brings deep financial industry experience and a wealth of knowledge to his role at BHG.
Prior to joining the firm, Jim was the Chief Compliance Officer at Green and Seifter Investment Advisors, where he was responsible for the compliance oversight of the firm's investment advisory representatives and the daily operations of the SEC-registered investment advisor.
Jim earned his bachelor’s degree in Finance from Boston College's Wallace E. Carroll School of Management. He currently lives in Liverpool, N.Y., with his wife and son.