Geoffrey Bright, Jr.
Geoffrey Bright, Jr. is a Vice President and Deputy Chief Compliance Officer of Stifel, Nicolaus, & Company, Incorporated, where he leads a team of compliance professionals responsible for managing regulatory examinations, compliance policies, registrations, surveillance, training, senior investor protection, and internal inspections. In addition, he is the Chief Compliance Officer of Stifel Independent Advisors, LLC and InTyce, LLC. Mr. Bright’s background includes over 19 years in the financial services industry, with responsibilities ranging across a broad array of topics on broker-dealer compliance matters. In his previous role, Mr. Bright was responsible for the branch inspection programs of four affiliated broker dealers. He currently holds the Series 7, 9, 10, 14, 23, 66, State insurance licenses and graduated from DeVry University with a bachelor’s degree in Business Administration and Management. Mr. Bright also serves the industry by acting as a non-public arbitrator with FINRA Dispute Resolution.