|
|
|
|
|
|
| Robert J. Hille |
| General Counsel and Chief Compliance Officer |
| |
 |
Robert Hille joined Laird Norton Tyee in the beginning of 2009 as general counsel and chief compliance officer. He is responsible for overseeing all of the firm’s compliance and regulatory efforts including internal audits, training, regulatory reporting and the monitoring of investment activities. He also ensures that Laird Norton Tyee stays in compliance with future changes to state and federal laws concerning regulatory issues. As general counsel, Robert oversees all legal issues involving the firm. Robert brings more than 25 years of experience to his position at Laird Norton Tyee, including extensive work around SEC and trust company regulatory issues.
Prior to joining Laird Norton Tyee, Robert spent the last eight years at GenSpring Family Offices LLC, where he held several different roles including chief compliance officer and risk manager. While at GenSpring, he was responsible for all aspects of the investment advisory firm’s compliance with federal and state regulations. Prior to joining GenSpring, Robert was senior vice president and trust officer with the SunTrust Private Capital Group, and before that, the manager of fiduciary consultants of Bank of America Private Bank in St. Louis. Robert also served as a board member for SunTrust Delaware Trust Company and Teton Trust Company.
Robert’s career also includes more than a decade of legal practice specializing in trust and estate planning, probate, tax, small business and corporate matters. He was a partner at Brackman, Hille & Freed, PC in St. Louis, Missiouri. He has also instructed classes in fiduciary law, trust administration and real estate.
Robert received his Bachelor of Science from the University of Tulsa, and earned a Juris Doctorate from the Washington University School of Law.
|
| |
| BACK TO LEADERSHIP |
| |
|
|
| |
|
| |
|
|