Robert Tull
Rob is the Managing Director with Effective Compliance LLC, a compliance consulting, coaching, and training firm. Previously, Rob was the global Chief Compliance and Risk Officer for CBRE Investment Management Listed Real Assets LLC, and the CCO for the CBRE Global Real Estate Income Fund (NYSE: IGR), an exchange traded closed-end fund; he also concurrently served as the Global CCO for CBRE Global Investors. Rob began his career as an examiner with the U.S. Securities and Exchange Commission. Rob has a prominent profile among compliance professionals; he is a former Director and Board Chair for the National Society of Compliance Professionals and a thought leader frequently speaking at conferences and appearing in publications. Rob was an adjunct professor at the University of St. Thomas School of Law, co-creating and co-leading the Certified Securities Compliance Professional (CSCP) program. Rob is the creator of an innovative and one-of-a-kind professional development program for compliance professionals, and he is a featured expert in international best-selling books. Rob is a Certified Public Accountant, Certified Securities Compliance Professional, Certified Compliance and Ethics Professional, Certified Fraud Examiner, Financial Risk Manager, and Certified Professional Coach, and earned a finance degree from Villanova University and a business law compliance degree from Loyola University of Chicago School of Law. Rob is also the founder of a comprehensive wellness and fitness business, Elements Wellness Group.
6c. ALL LAB - Regulatory Change Management (Intermediate - CLOSED)