Hardy joined Crestone Capital Advisors in 2006 and most recently served as the firm’s senior securities administrator until she was named chief compliance officer in 2011.

As chief compliance officer, Hardy is responsible for managing the firm’s statutory and regulatory compliance matters as well as broker dealer operations.

Doug Bonnette, principal of Crestone Capital Advisors, said as chief compliance officer, Jennifer brings considerable institutional and regulatory knowledge to the firm’s compliance function and they are pleased to expand her role within the firm.

Prior to joining Crestone, Hardy served as the operations manager/sales assistant at Rhodes Securities, a private brokerage firm in Fort Worth, Texas.