Chief Compliance Officer
Robert A. Hills is the Chief Compliance Officer for Merk Investments and has over 18 years of experience in the investment industry. He is responsible for managing the firmwide Investment Adviser compliance program, creating and documenting comprehensive policies and procedures to meet SEC Rule 206(4)-7.
Prior to joining Merk, Mr. Hills was Managing Director of RAH Consulting where he provided innovative and creative solutions and regulatory guidance to the institutional asset management business. Previously, Robert was Vice President, Chief Compliance Officer at McMorgan & Company, a wholly owned investment management subsidiary of New York Life Insurance Company and New York Life Investment Management Holdings’, where he provided strategic direction and design of compliance programs. Prior to that, he managed the Compliance, Financial Reporting & Tax departments for Jackson National Asset Management LLC. Additionally, Robert served in various operational roles at Baker, Fentress & Company and Bisys Fund Services.
Robert holds a B.B.A. degree in Accounting & Finance from Olivet College.
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