Chief Compliance Officer, Crescent Investment Advisory Services
Mr. Levine serves as the Chief Compliance Officer, Crescent Investment Advisory Services. Prior to joining Crescent as a Compliance Officer in 2014, Mr. Levine was a Manager at Ernst & Young in their Regulatory Compliance Practice. Prior to that, Mr. Levine was a Member Regulation Principal Compliance Examiner at FINRA from 2006 to 2011. Mr. Levine graduated from Indiana University, Bloomington with a BS in Economics.