Robert Tudor

Financial Advisor | Chief Compliance Officer

 

As Chief Compliance Officer for Bangerter Financial Services, Robert Tudor is responsible for
ensuring compliance with all laws, regulatory requirements, policies and procedures. Robert is
responsible for oversight and supervision of all Registered Representative and Financial Advisor activity.
Additionally, Robert is a licensed Financial Advisor with Bangerter Financial Services. Robert got his
start in the financial services industry in 2011 as a Financial Representative with Scottrade, Inc. He later
joined Atlanta-based independent broker-dealer and investment advisory firm Triad Advisors, LLC as a
Compliance Principal. Prior to joining Bangerter Financial Services he worked as a Sales Supervisor for
Concorde Investment Services and Concorde Asset Management. Robert holds a Bachelor of Business
Administration degree in Risk Management and Insurance from Georgia State University. He currently
holds his FINRA Series 4, 7, 24, 52, 53, 63 and 66 licenses. Robert is enthusiastic about helping his
clients find suitable investments that meet their needs. Robert resides in the metro Atlanta area with his
wife, Samantha and German Shepherd, Lark. In his spare time he enjoys supporting all Atlanta sports
teams, working in the yard and a relaxing round of golf.

 

 

 

rtudor@bangerterfinancial.com