NEW YORK, NY, November 20, 2018 -- Jason H. Gerb, CRCPTM, CAMSTM, Chief Compliance Officer at Foresters Financial Services, has been elected to serve as a member of the FINRA Regional Committee, District 10, New York Region.
“Jason is a talented financial services executive who has a strong background in our industry and is very familiar with the issues we face every day. We are delighted to have him join FINRA’s regional committee and look forward to his involvement with this key industry organization in the days ahead,” said Blake Moore, President, North American Asset Management at Foresters Financial.
As a member of FINRA’s Regional Committee, Jason will serve an important role in the self-regulatory process by, among other things, alerting FINRA to industry trends that could present regulatory concerns and consulting with FINRA regarding proposed policies and rule changes. Regional Committee members may also serve on disciplinary panels in accordance with FINRA rules.
Jason will begin his new role as an elected committee member in January 2019.
About Foresters Financial
Foresters Financial is purpose-driven financial services provider with more than three million clients and members in Canada, the United States and the United Kingdom. We provide life insurance, savings, retirement and investment solutions that help families achieve their financial goals and make a lasting difference in their lives and communities. Foresters Financial has assets of $17.7 billion, liabilities of $15.7 billion, total funds under management of $45.1 billion and a surplus of $2 billion (all figures in Canadian dollars as of December 31, 2017). For more information, visit foresters.com.
For more information:
416-429-3000 Ext: 4044