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Financial Advisory  + RIAs & Financial Advisors  | 
Cetera Taps Ex-Northwestern Mutual VP as CCO

Cetera Taps Ex-Northwestern Mutual VP to Lead Compliance 

Cetera Financial Group, a network of registered investment advisors and independent broker/dealers, named Gwen Weithaus chief compliance officer for Cetera Investment Services to oversee the implementation and maintenance of compliance programs. She reports to Cetera CRO Joseph Neary.  

Weithaus brings more than three decades of experience to Cetera. Most recently, serving as VP of wealth risk and controls at Northwestern Mutual, where she was responsible for risk management and controls programs, regulatory implementations and delivery, business continuity and resumption programs, and product and vendor risk management.  

Before Northwestern Mutual, she worked as a regulatory consulting manager at Deloitte and a compliance officer at Strong Investments. She also serves on the FINRA foundation board of directors and the MSRB professional qualifications advisory committee. 

“We welcome Gwen to Cetera Investment Services, where she will play a critical leadership role and we know her contributions will make a significant impact,” said LeAnn Rummel, president and CEO of Cetera Investment Services. 

Cetera Investment Services recently made two additional hires, including Tami Cain, head of institutional business development, and John Konikowski, senior manager of managed programs. 

Other key personnel additionsinclude Jerry Patterson, head of advanced wealth solutions, Scott Baker, head of corporate strategy, and Dan Burkott, CCO for Cetera’s tax channel. Marten Hoekstra was appointed to the Cetera board of directors and Michael Molnar was named head of corporate development as part of an expanded investment in advisory solutions effort. 

Cetera managed more than $505 billion in assets under administration and $213 billion in assets under management as of March 31, 2024. 

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Cetera Financial Group

About Joe Palmisano

Joe Palmisano is Editorial Director for Connect Money, where he brings nearly three decades experience of market insights as a financial journalist, analyst and senior portfolio manager for leading financial publications, advisory firms, and hedge funds. In his role as Editorial Director, Joe is responsible for the selection of content and creation of daily business news covering the financial markets, including Alternative Assets, Direct Investment and Financial Advisory services. Before joining Connect Money, Joe was a financial journalist for the Wall Street Journal, regularly publishing feature stories and trend pieces on the foreign exchange, global fixed income and equity markets. Joe parlayed his experience as a financial journalist into roles as a Senior Research Analyst and Portfolio Manager, writing daily and weekly market analysis and managing a FX and US equity portfolio. Joe was also a contributing writer for industry magazines and publications, including SFO Magazine and the CMT Association. Joe earned a B.S.B.A. in Finance from The American University. He holds the Chartered Market Technician (CMT) designation and is a member of the CFA Institute.

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