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Sheila M. Baker, Chief Compliance Officer

Sheila M. Baker, Chief Compliance Officer

Sheila M. Baker is a 1978 graduate of Northwestern University. Her experience in the financial services industry dates back to 1987. Sheila is currently the Chief Compliance Officer and an investment advisory representative of Third Street Advisors, LLC. She is also a registered representative of FSC Securities Corporation and affiliated with Neader Insurance Services, Inc., and Neaco Advisory, Inc., a fee only registered investment advisor.