Cyla Minett, CRCP®
Director of Compliance
As the firm’s director of compliance, Cyla supports the Chief Compliance Officer in keeping AISG compliant with SEC, FINRA and state regulations. She works with key regulators on regulation and reporting updates for policies and procedures, exams, licensing requirements and online filings.
Cyla has more than 28 years of industry experience. Prior to joining AISG, she held positions in auditing, compliance supervision and management. She also served as Chief Compliance Officer at two separate firms.
Cyla has passed the FINRA Securities Industry Essentials® (SIE®) exam, as well as the Series 7, 24, 53, 63 and 66 exams. She holds the life and health with variable lines insurance license in the state of Illinois and is a Certified Regulatory Compliance Professional (CRCP).
Cyla enjoys spending time with her family, including the fur babies. She also enjoys traveling, especially in her RV, and hiking.