Kevin J. Patton, IACCP, AIF
Year Started at RIM: 2005
Responsibilities: Chief Compliance Officer
Education: M.B.A., University of Louisville, Management
B.S.B.A., University of Louisville, Finance
Certifications: Investment Adviser Certified Compliance Professional® (IACCP®), Accredited Investment Fiduciary® (AIF®), Series 65
Kevin joined Renaissance in 2005 and serves as the firm’s Chief Compliance Officer. He is responsible for coordinating and monitoring Renaissance’s compliance, legal and risk functions. Kevin is experienced in the areas of mutual fund law, ERISA law, personal trust compliance and risk management. Prior to joining Renaissance, he was a Senior Compliance Officer for the Investment Advisors and Risk Management Division of Fifth Third Bank. Kevin has a B.S.B.A. in Finance and an M.B.A. with Distinction from the University of Louisville, holds an Accredited Investment Fiduciary® (AIF®) designation, has the Investment Adviser Certified Compliance Professional® (IACCP®) designation and holds a Series 65 license.