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Keith Kessel

Keith Kessel

Untitled_design_4.pngChief Compliance Officer & Specialist Counsel, Independent Financial Partners

Check Keith’s background on FINRA’s BrokerCheck.

Keith is the Chief Compliance Officer at Independent Financial Partners, a broker-dealer and RIA based out of Tampa, Florida. He is responsible for keeping IFP compliant, which means abiding by FINRA and SEC regulations. Keith has served in various legal, compliance & executive roles within the financial services industry for the past 28 years, including as a compliance consultant and lawyer for the financial services industry. 

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