ABL Compliance LLC offers services to advisory firms to support compliance with the Investment Advisers Act of 1940. ABL Compliance strives to provide a customized compliance plan for each advisory firm that reflects the firm’s unique business and the ever-changing regulatory environment.
Andrea started her career in compliance while pursuing a degree from Duquesne University School of Law. During school and following graduation, Andrea worked in Corporate Compliance at PNC Bank. She then worked for Hardin Compliance Consulting and was with the firm through an acquisition by Foreside Financial Group and a merger to become ACA Group. Andrea then moved to Chenery Compliance Group before launching ABL Compliance in 2023. Through the years, Andrea worked with a wide variety of SEC registered investment advisers to customize, implement, and maintain their compliance program.
Education:
Wheeling Jesuit University, BS in Psychology
Duquesne University School of Law, Juris Doctor
Jenny has over 15 years of compliance and consulting experience. She started her career in-house for registered investment advisers and large broker-dealers, working on all aspects of their compliance programs. Jenny moved to outsourced consulting with Hardin Compliance Consulting and was with the firm through an acquisition by Foreside Financial Group and a merger to become ACA Group. Jenny joined ABL Compliance in September 2023.
Education:
University of Iowa, BS in Psychology
Jaclyn has over 8 years of in-house compliance experience with both small and large SEC Registered Investment Advisors, centered around building robust compliance programs. She received her Investment Advisor Certified Compliance Professional (IACCP®) certification in 2021. She moved into the outsourced consulting space when joining ABL Compliance in January of 2026.
Education:
Central Connecticut State University, BA in History
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