Paul Lythberg


Paul Lythberg officially joined Segall Bryant & Hamill (SBH) in January 2013. Mr. Lythberg provides the leadership and oversight of the firm’s Compliance and Operation’s departments, and has widespread executive responsibilities. In these roles, he oversees all of the Investment Management’s business infrastructure activities, including Operations, Information Technology and Investment Compliance. Prior to joining SBH, Mr. Lythberg was the Assistant Chief Compliance Officer at Dougherty Financial Group (DFG), an affiliate of SBH that provided the Compliance and other administrative services to SBH. Prior to joining DFG, he was the Compliance Director at Allstate Investment Management Company (Registered Investment Advisor) and Allstate Insurance Company (non-registered), where he honed his skills building a robust internal control structure with particular focus on the Investment Advisers Act of 1940. During his 27-year tenure at Allstate, Mr. Lythberg held positions in Corporate Accounting, Investment Operations and Investment Compliance. He holds B.A. degrees in both Accounting and Business Administration from Augustana College and an MBA from the University of Illinois-Chicago. Mr. Lythberg is a member of the American Institute of Certified Public Accountants, the Illinois CPA Society and the National Society of Compliance Professionals.

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