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Cyla Minett is the Chief Compliance Officer of John F. Suby Wealth Management, LLC.   She has over twenty-eight years in the financial services industry, with the last seventeen of those years focusing on compliance.   During her career, she has obtained the FINRA General Securities Representative Series 7 license, the FINRA Supervisory General Securities Principal Series 24 license, the State Securities Agent State Law Series 63 license, the FINRA Supervisory Municipal Securities Principal Series 53 license, the State Combined (Agent & Representative) State Law Series 66 license, her life / health and variable annuity contract insurance producers license from the state of Illinois as well as her Certified Regulatory Compliance Professional (CRCP) designation.   Her CRCP certification was achieved in 2008 by completing a comprehensive training in the foundation, theory and practical application of securities laws and regulation.   This CRCP program was delivered through the Wharton School of the University of Pennsylvania, and sponsored by the Financial Industry Regulatory Authority (FINRA).   Cyla joins John F Suby Wealth Management, LLC., bringing a strong and extensive knowledge of federal and state rules and regulation.  

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