Kimberly S. Nassar

Kimberly Nassar joined QLS Advisors in 2021 as the firm’s Chief Compliance Officer with responsibility for overseeing the day-to-day execution of the firm’s compliance program.  Ms. Nassar previously served as a Senior Principal Consultant for ACA Group in their investment adviser regulatory consulting practice. Prior to joining ACA, Ms. Nassar served as a Director for Affiliated Managers Group, Inc. (“AMG”), a publicly traded asset management company with equity investments in boutique investment advisory firms (“AMG Affiliates”). In this role, Ms. Nassar was responsible for assisting AMG Affiliates with a variety of regulatory compliance matters. Overall, Ms. Nassar has over 30 years of experience with investment management compliance, holding positions with companies such as Fidelity Investments, Wellington Management Company, LLP, and Deutsche Bank (formerly Scudder Kemper Investments). Ms. Nassar holds a B.A. from Simmons College and an M.S. in Training and Development from Lesley University.