Jordan Powers serves as Chief Compliance Officer and General Counsel at Centennial Securities Company, Inc. Centennial Securities is a dually registered broker-dealer and investment adviser and has several offices throughout Michigan, as well as one in Chicago, IL. Jordan oversees all legal and compliance matters at Centennial which include, supervising regulatory exams, developing and maintaining policies and procedures, supervising all sales and investment management activities, and educating senior management and personnel regarding new and proposed laws, rules, and regulations.
Prior to joining Centennial Securities, Jordan spent several years as a Product Specialist and Counsel and Subject Matter Expert for multiple financial consulting companies where he focused primarily on counseling large financial institutions on compliance with regulations promulgated by the Dodd-Frank Wall Street Reform and Consumer Protection Act.
Jordan holds a B.S. in Political Science and Public Administration and a J.D. from the University of Denver, Sturm College of Law. He also currently holds securities licenses in Series 7, 66, 24, & 28 and sits on two SIFMA committees.