Damon Meyer serves as Chief Compliance Officer. He has been with Crews since July 2016 and has over 22 years of industry experience. Prior to joining Crews, Damon was senior vice president of sales and operations for a dually registered bank owned broker-dealer. Throughout his career, he has held leadership roles in compliance, trading, operations, sales, vendor management, training, BD conversions, strategic business initiatives and information technology. Damon has served on FINRA’s South Regional Committee and is an active participant in several industry groups.
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With Crews since 2016