AssetMark
Ryan Lambuth has a diverse work experience in the financial industry. Ryan started their career as a Compliance Examiner at FINRA in 2005 and worked until 2007. After that, they joined Securities America, Inc. as a Sr. Branch Auditor from 2007 to 2009. Currently, Ryan Lambuth holds the role of VP, Corporate Compliance, CCO AssetMark Brokerage™, LLC at AssetMark since 2009.
Ryan Lambuth received a Bachelor's degree in Business Administration with a specialization in Finance from California State University - East Bay. In addition to their degree, they have obtained certifications from the Financial Industry Regulatory Authority (FINRA). Ryan completed the NASD Examiner University program in June 2006 and also holds certifications for Series 26 and Series 7 from FINRA.
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AssetMark
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AssetMark, formerly Genworth Wealth Management, is a leading strategic provider of innovative investment and consulting solutions serving independent financial advisors. They provide investment, relationship and practice management solutions that advisors use in helping clients achieve wealth, independence and purpose. They serve those advisorswho make a difference in the lives of their clients. Often, that's about financial independence. They craft their offering around each advisor's vision so that you can manage clients' wealth with thoughtful purpose. The firm has approximately $22 billion in assets on its platform and a history of innovation spanning over 20 years.