Walter Costenbader

Compliance Consultant

Walter Costenbader has over 20 years of experience in compliance and business management in the broker-dealer and investment advisor arenas. Currently, Walter is a senior compliance consultant for small and large international financial services firms. Prior to this, he formed and served as Chief Compliance Officer for the broker-dealer and investment advisor subsidiary of Webster Financial Services. Before joining Webster, he started a broker-dealer and investment advisor subsidiary of CIGNA Corp, and served as its chief operating officer and chief compliance officer. He has a Bachelor of Arts in Education, and received CFP designation after attending Boston College. He also serves as an active NYSE Arbitrator. Walter currently serves as the chief compliance consultant for RIA Registrar, LLC.

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