Jill Veenstra

Senior Compliance Analyst / Broker-Dealer

Before joining My RIA Lawyer, Jill was the Regional Supervisory Officer and Vice President of Huntington Financial Advisors, where she fulfilled a range of compliance, supervision and operation roles for the last 16 years. In her role as Regional Supervisory Officer and Vice President, Jill was responsible for a variety of broker-dealer compliance and supervision duties including but not limited to:

  • Reviewing suitability
  • Monitoring sales patters, practices and trends
  • Preparation and supervision of Heightened Supervision Plans
  • Conducting supervisory audits
  • Correspondence and advertising review and approval
  • Office of supervisory jurisdiction (“OSJ”) management.  

Jill holds the following FINRA licenses- 6, 7, 24, 53, 63, 66- and is also licensed to sell life and health insurance in the State of Michigan.


Outside of work, Jill enjoys spending time with her husband, two adult sons, daughter-in-law and grandson. Jill enjoys visiting and hiking at national parks.

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