Profile

Mr. Scott E.
Register is a Principal at Register Financial Advisors, LLC.
He joined Register Financial in September 1996.
He serves as the FINOP, Registered Option Security & Futures Principal and Muni Principal for the firm.
He currently holds the FINRA Series 4, 7, 24, 27, 53, 66 and 87 licenses.
He works directly with George Register on compliance for Register Financial Associates, Inc. and Register Financial Advisors, LLC.
He manages the compliance infrastructure and participates in all aspects of the brokerage business.
He works with strategic planning for the firm and directly with our clearing firm.
Prior to Register Financial Advisors, Mr. Register was employed with Securities Compliance Management, providing securities compliance consulting for Broker Dealers and Registered Investment Advisors.
He was also the FINOP for Sage Southeastern Securities.
Mr. Register received his undergraduate degree from Lynn University and an undergraduate degree from Francis Marion University.

Former positions of Scott Edward Register

CompaniesPositionEnd
Compliance Officer -
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Training of Scott Edward Register

Lynn University, Inc. Undergraduate Degree
Francis Marion University Undergraduate Degree

Experiences
Positions held

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Private companies

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Connections

8

1st degree connections

3

1st degree companies

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Linked companies

Private companies1

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