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Advisor Group Continues Growth with Hire of Two Industry Executives

Advisor Group, a network of independent wealth management firms, hires business strategy and compliance experts.

Advisor Group, a network of independent wealth management firms, has hired two executives for its business strategy and compliance operations. Dimple Shah joined as executive vice president of corporate strategy, and Iryna Northrip as chief compliance officer of investment advisory.

“Expanding our ability to serve our advisors and their clients by bringing in top talent is a critical component of our strategy,” said Advisor Group’s president and chief executive officer Jamie Price. “For the last two years, we’ve been hiring across the organization, adding new leaders and fresh perspectives to Advisor Group. Dimple and Iryna represent the high caliber of talent and leadership we are building to support the future of our firm and the futures of the advisors who affiliate with us.”

Dimple Shah, executive vice president of corporate strategy, reports to Price. She is responsible for the company’s growth strategy and serves on the executive committee. She was previously a managing principal at Cielo Advisors, where she helped develop Advisor Group’s current strategic plan. Before working with Cielo Advisor, Shah held leadership roles at LPL Financial, Oliver Wyman/Marsh & McLennan Companies, Hewlett Packard and PayPal/eBay Inc. Shah has a bachelor’s degree in economics from Stanford University and a Master of Business Administration from Harvard Business School.

Iryna Northrip, chief compliance officer of investment advisory, reports to chief risk officer Steve Wastek. She oversees compliance for investment advisory portfolios across Advisor Group’s network and will assist with the broader evolution of risk and compliance for the firm. Previously, she served as a vice president, regulatory counsel and chief compliance officer for Mariner Wealth Advisors. She also held positions at Bryan Cave LLP and Deutsche Bank. Northrip has a Bachelor of Business Administration degree from International Christian University in Kyiv, Ukraine, and a Master of Finance from Albert-Ludwig’s University in Freiburg, Germany. She earned her law degree from the School of Law at the University of Missouri at Kansas City.

Advisor Group is comprised of FSC Securities, Royal Alliance Associates, SagePoint Financial, Securities America, Triad Advisors and Woodbury Financial Services. The network serves approximately 10,000 financial advisors who oversee more than $515 billion in client assets.

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