Kevin Chase

Chief Compliance Officer

Kevin is the Chief Compliance Officer of Sanctuary Wealth. He is a high performance-focused executive with more than two decades’ experience in management, business strategy, and risk-mitigated decision making. Having begun his career in the financial services industry in a supervisory capacity, Kevin worked his way up to top-level executive positions, giving him a unique understanding of what elements determine the success of an organization at all levels. Kevin began his career in private wealth management at Merrill Lynch in 1981 as a supervisor in Boston. He served in administrative and managerial roles in New York and later in an executive capacity in the bank’s Greater Midwest Division.

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