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Attracting Quality Developing Loyalty Embracing Leadership |
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Meet Our Family |
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Administration and Services Our company provides ongoing plan administration and monitoring, which include updated reviews of regulatory issues and continual service providing a “high touch” approach to our clients. We pride ourselves in providing preeminent service to the bank that leads to a long-term relationship. With our team of 9 consultants and 16 service administrators we are committed to the long-term success of our bank clients. The regulators believe that commitment is important, we believe that it is important, and banks require it. |

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Brandon Page Senior Vice President of Operations |
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Brandon Page has been in the financial service industry over 12 years with an extensive background in the management of operations of NASD broker/dealers and investment adviser firms. Mr. Page has been with Bank Compensation Consulting since its inception and serves as the Director of Operations. In this capacity, he oversees the daily operations of the firm as well as the ongoing servicing for all bank clients. He communicates daily and works directly with senior level bank executives, helping with the structure and ongoing interpretation of their benefit plans. As the Director of Operations, Mr. Page was and continues to be instrumental in the design and implementation of all client reporting including customized monthly asset reports, individual benefit statements, and annual regulatory required reports provided to clients. Prior to joining Bank Compensation Consulting, Mr. Page served as the Financial Operations Principal (FINOP) and Chief Compliance Officer for Morgan Spaulding, Inc. He also served as the Director of Operations and Compliance Officer for Placemark Investments, Inc., a registered investment adviser, helping build a customized asset management wrap fee program. Previous positions include serving as the President of RunMoney Financial Services, Inc. and as a Financial Advisor with Merrill Lynch. Mr. Page earned a BBA in Finance from the University of Texas at Tyler in 1995. In addition, he attended the New York Institute of Finance where he became certified in Brokerage Operations, Stock Brokerage Accounting, and Fundamentals of the Securities Industry. He also received special certification from the Investment Training Institute for Financial & Operations Principals. Mr. Page maintains the following financial licenses in good standing: Series 7, 24, 27, 53, 63, and 65. |