Andrew Halac is a seasoned financial professional with over nine years of expertise spanning Broker-Dealer, RIA, Investment Banking, and Fixed Income Operations, alongside more than five years in compliance.
A proven leader in managing teams and advancing compliance strategies, Andrew has driven success at prestigious firms such as D.A. Davidson, Raymond James, and Weild & Co. With deep proficiency in navigating regulatory landscapes—working closely with FINRA, SEC, and MSRB—Andrew excels in audits, investigations, and examinations.
Known for enhancing compliance metrics, optimizing operations, and leading firms through transformative industry shifts like T+1 settlement procedures, Andrew’s experience extends across retail, accredited, and institutional client services.
Outside the office, Andrew enjoys family adventures and discovering the natural beauty of Colorado with his wife, Catie, and sons, Cal and Grey.
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“It’s important that you look at your legal provider and who it is you have invested in to protect your business, so there are a few things you should be asking your lawyer. First, do they know what the heck you’re doing? Do they know the services you provide? The fees you’re charging? Do they understand securities? One of the problems I see when there is a legal action or when there’s an enforcement action, is that so many of you are going to attorneys that have ZERO securities experience! You’re going to, God forbid, a general practitioner!! That’s not the kind of lawyer you want, you want a securities attorney! You want them to understand your business.“
— Leila Shaver Founder
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