Joseph M. DiBartolo

CHIEF COMPLIANCE OFFICER

Joseph M. DiBartolo serves as WE Family Offices’ Chief Compliance Officer and brings with him over 35 years of experience in the management and execution of compliance activities for SEC registered and unregistered investment adviser firms and private investment funds.

Mr. DiBartolo, as a consultant for Advisory Compliance Associates LLC (ACA), provides regulatory compliance consulting and serves as an outsourced chief compliance officer to multiple SEC registered investment advisers, His career experience also includes working with large institutional and retail asset management firms and dual registrants ranging up to $300 billion AUM.

He most recently worked for Alaric Compliance Services LLC for 12 years as a consultant and outsourced CCO and held senior compliance roles for Bear, Stearns & Co. Inc. (BSCI), Bear Stearns Asset Management (BSAM) and its asset management affiliates where he was responsible for supporting the parent company’s wealth and institutional asset management. Mr. DiBartolo also served as the Rule 206(4)-7 Chief Compliance Officer to four of Bear Stearns’ affiliated investment adviser firms and hedge funds.

Mr. DiBartolo previously served as the Compliance Manager for PIMCO Advisers and its affiliates, and Head of Compliance for HSBC Asset Management Americas, Inc.

Throughout his career, Mr. DiBartolo has successfully coordinated and managed over 30 SEC routine examinations, inquiries, and investigations. He has also served as a Rule 206(4)-7 Chief Compliance Officer to more than 25 SEC registered investment advisers including hedge funds and private equity firms. He graduated with an Accounting Degree from Syracuse University in 1985.

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