Medina Jett

Medina 3
Of Counsel

Email: mjett@kowancordon.com

 

Ms. Jett is a securities attorney with over 25 years of legal and compliance experience in the financial services industry.  Her clients include investment advisors, broker dealers, mutual funds and private funds. She serves as securities counsel advising the firm’s clients on federal and state securities law issues. She is also the president of Integrated Compliance Solutions Group (“ICSGroup”), a compliance services firm focused on helping asset managers develop infrastructures to comply with federal and state securities laws. Ms. Jett is also a member of the State of Connecticut Department of Banking Securities Advisory Council where she lends her expertise to the rule making process related to investment advisors in Connecticut. She is a frequent speaker on the international stage on legal and compliance topics impacting private funds and investment advisors.

Prior Experience
CCO, The Hartford Group Benefits Division
CCO, Prudential Retirement
Deputy CLO, CCO, Cigna Retirement & Investment Services  Counsel, Murtha Cullina
Counsel, Updike, Kelly & Spellacy
Education
University of Connecticut School of Business, MBA
Georgetown University Law Center, J.D
Wesleyan University, B.A.
Bar Admissions
Connecticut
Supreme Court of the United States