Stacey Gillespie is employed by ACA Group and provides compliance support for Corten Real Estate Management LLC and several registered investment advisers, mutual funds and private fund advisers. Her compliance career spans more than 20 years in the financial services industry. She began her career in 2001 as a compliance officer at JP Morgan Fleming Asset Management and held a number of compliance roles with increasing responsibility throughout her career. From 2007 through 2015, she served as the Chief Compliance Officer of Boenning & Scattergood, Inc. a Mid-Atlantic 3-billion-dollar dual registrant where she led the compliance program, managed compliance staff and oversaw all compliance initiatives. She joined Cipperman Compliance Services, LLC in 2015 as a Director and outsourced chief compliance officer and served as a senior member of the firm’s Compliance Committee. She has been the main liaison for numerous regulatory exams, has spoken on compliance panels and authored white papers on important regulatory issues. She holds the FINRA Series 7, 63, 65, 24, 79 and 53 licenses.