Scott P. Gill, MBA, IACCP® is the Founder and CEO of Synergy RIA Compliance Solutions and a compliance professional with nearly two decades of experience serving registered investment advisors (RIAs) and financial services firms. His background spans RIA and broker-dealer compliance, including leadership roles at XYPN as a Senior Compliance Consultant and as Compliance Officer for Carolinas Investment Consulting. Earlier in his career, Scott held positions with E*TRADE Financial, J.P. Morgan Private Banking, and Wells Fargo Advisors. He earned his MBA and holds the Investment Adviser Certified Compliance Professional (IACCP®) designation. Scott specializes in helping independent advisory firms build practical, scalable compliance programs that support long-term growth.