Christopher Scot Majeski
Chris has over 20 years of leadership experience in the United States, Europe, and the Pacific Rim supporting wealth management, institutional, and retail banking businesses. Currently, he is the Head of Private Client Group Supervision at Raymond James. Prior to joining Raymond James, he was the Compliance executive supporting strategic business priorities and risk management efforts within and across Merrill Lynch Wealth Management (MLWM), Private Banking and Investment Group (PBIG), U.S. Trust, Merrill Edge, and Global Banking & Markets. Chris joined Merrill Lynch in 1999, and over his tenure at Bank of America/ Merrill Lynch has held a number of senior roles. He was the Compliance executive for MLWM, PBIG, and Merrill Edge and also supported banking and credit products distributed through those channels and U.S. Trust. While in Singapore, he served as the regional Compliance executive for Pacific Rim Wealth Management and Corporate Banking – Treasury Services, and was the overall Southeast Asia country Compliance executive supporting all lines of business. He also served as the Audit executive covering two U.S. banks and Global Corporate Credit in the U.S., and prior to that was the Europe, Middle East, & Africa Wealth Management Audit executive in London. Before joining ML, he was with Deloitte&Touche and PriceWaterhouseCoopers covering financial services. Chris is active in industry working groups and is a regular speaker at national conferences. He received his Bachelor of Science in Accounting from Rider University. Chris is married and has three children.