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Raymond Hrin

Director Risk and Regulatory Compliance Senior Vice President
Office

803-231-3492

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About Raymond Hrin

Raymond joined the Private Wealth team in 2013, after 14 years of experience in the financial industry. He previously worked as the Director of Support Services, overseeing Compliance, Risk Management and Financial Reporting in the Wealth Management division at a large regional financial institution. He has also held positions as a Portfolio Manager and Trading Representative.

He earned his BS in Economics from St. Vincent College, and a dual master’s degree from the University of Pittsburgh in Business Administration and Public & International Affairs. He holds the Certified Fiduciary and Investment Risk Specialist (CFIRS) designation, as well as successfully completed several securities licenses, including the General Securities Representative License (Series 7), the General Securities Principal License (Series 24), the Municipal Securities Principal License (Series 53), and the Combined State Securities Agent and Investment Adviser License (Series 66).

He is a current weekly volunteer with the Oliver Gospel Mission homeless shelter.