Brian Quill joined BOK Financial Corporation in May of 2014 and currently serves as Vice President, Investment Compliance Officer.
Brian has been in the securities industry for over 31 years with experience in operations, supervision, new business, financial planning, insurance and compliance. For the past several years, his focus has been on the compliance within a broker/dealer and RIA firms both inside and outside of the banking industry.
Brian currently holds FINRA Series 7, 24, 63, and 65 licenses, a Chartered Mutual Fund Counselor Professional designation, and a Bachelor of Business Administration degree in Management/Organizational Behavior from the University of Notre Dame.