NexGen Capital Investors

phone 312.845.9055

Vision, Commitment, Integrity, Teamwork and Experience

Team

Professional Team

Patricia I. Crawford

Vice President and Chief Compliance Officer

312.845.9055 extension 158
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Responsibilities

Patricia I. Crawford is Vice President and Chief Compliance Officer for NexGen Capital Advisors, LLC, NexGen Capital Consultants, LLC and NexGen Capital Investors, LLC (collectively, the NexGen Affiliates) and is responsible for performing all the compliance activities.

Experience

Ms. Crawford has 27 years of experience in securities compliance and regulation.  She has worked in all areas of broker/dealer and investment adviser compliance including: developing policies and procedures, providing direction to registered representatives on compliance and operational issues, implementing and tracking required training and assessing firms’ financial and operations conditions and compliance with the Financial Industry  Regulatory Association, the Securities and Exchange Commission and New York Stock Exchange Rules.  Ms. Crawford most recently served as Regional Director, Advocacy and Supervision at Cambridge Investment Research, Inc. and was responsible for the regulatory supervision of approximately 150 registered representatives and officers of supervisory jurisdiction.

Ms. Crawford served as Director of Compliance at Waterstone Financial Group, Inc. (Waterstone) and was responsible for developing and implementing procedures and quality reviews as well as compliance programs across the company’s 625 branch offices.  She helped grow Waterstone from 178 registered representatives to more than 625 registered representatives over an eight year period.  Ms. Crawford has held other compliance positions including Compliance Officer for the mid-west region of Principal Financial Securities, Inc. and branch officer examiner at Integrated Resources Equity Corporation.

Education

Ms. Crawford received a BA degree in communications from Western Illinois University.

Certifications

Ms. Crawford is Series 24, 7 and 63 licensed.

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All securities are offered through NexGen Capital Advisors, LLC, a broker/dealer and member of FINRA and SIPC, operating under the Securities Act of 1933.  NexGen Capital Investors, LLC is registered as an investment adviser operating under the Investment Advisers Act of 1940 and under the regulations and rules promulgated by the State of Illinois.

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