Colin Clark
EQUIFAIRA PRIVATE SECURITIES | CHIEF COMPLIANCE OFFICER

Colin is a respected leader with more than 30 years of broad based experience in the financial services sector. This included working with Scotiabank in the commercial, corporate, international and private banking areas, the former Vancouver Stock Exchange, where as a Senior Corporate Analyst he oversaw the Pre-Listings Advisory Committee, and as the Chief Compliance Officer of a mid- sized Vancouver based Private Equity firm. In addition, he spent nearly 20 years providing management, compliance, education and litigation support consulting services to securities industry participants and investors alike. As a former securities regulator and industry registrant, Colin is always ready to address the next challenge to ensure clients receive the best products and services available.

Colin holds a BComm from Concordia University in Montreal and an MBA from the Ivy School of Business in London, Ontario.