Ryan Smyth, CIPP/US


FTI Consulting

Managing Director

Ryan advises clients on a wide range of regulatory and compliance issues, including those related to information security and privacy, business continuity and disaster recovery, anti-fraud programs, vendor management, and enterprise risk management. He also has deep knowledge of compliance and regulations governing the broker-dealer and investment-adviser areas of wealth management. Prior to joining Promontory, Ryan served as Chief Security and Privacy Officer for LPL Financial, where he oversaw the firm's compliance with applicable federal and state information security and privacy laws and regulations. Ryan also served as Vice President of Enterprise Risk Management for LPL.


Contributions by Ryan Smyth