KYLE BUBECK

Chief Compliance Officer

Kyle Bubeck is the founder of Beacon Compliance Consulting (“Beacon”). Beacon was founded in 2009 and provides Chief Compliance Officer (“CCO”) services to registered investment advisors, stand-alone mutual funds, and mutual fund series trusts. In addition to CCO services, Beacon also provides compliance consulting, initial registration and establishment of advisory firms, document creation, mock auditing, financial bookkeeping, and administration of the Orion Compliance software application.

Kyle entered the compliance industry in 2003 and is very knowledgeable of investment advisor and investment company rules and regulations having served in the industry as a CCO for over twenty years. Kyle was previously a partner and the Chief Compliance Officer of TrendStar Advisors, LLC, an SEC registered investment advisor. Kyle served in that role from 2003 until July 2009 when the firm was sold to United Missouri Bank of Kansas City. During that period Kyle also served as the Secretary of TrendStar Investment Trust and in 2008 assumed the role of Chief Compliance Officer of TrendStar Investment Trust.

Since 2009, Kyle has continued to serve as the CCO of SEC registered investment advisors, stand-alone mutual funds, and mutual fund series trusts. Because Beacon’s clients are located in numerous states Kyle has substantial experience working with the various SEC regional offices across the country. Throughout the regulatory examination process Kyle acts in the lead capacity for all Beacon’s clients and has conducted more than twenty-five examinations on behalf of those clients.

Kyle received his Bachelor of Science degree in Business Administration from Regis University in Denver, Colorado.

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