Justin Jolly

Chief Compliance Officer

Justin is the Chief Compliance Officer for Priority Financial Group. Justin is responsible for the supervision of the RIA which includes account oversight, onsite examination, policy and procedure development, and project management for new advisor tools and product offerings. Justin uses a collaborative approach with advisors and the rest of the PFG Team to foster an environment where people can be empowered to grow the business in an ethical and profitable manner.

Justin has been in the financial industry since 2006. He spent his first five years in the industry as a rep for Chase and for a local Arizona credit union. This experience as an advisor has helped him understand the challenges and pitfalls advisors face and has helped to inform his approach to supervision and compliance.

Justin holds Series 7, 24, 63 and 65 licenses, as well as Life/Health and Variable Lines Insurance license.

Justin and his wife have three young children. He graduated from Gardner-Webb University in North Carolina and is an avid Tar Heels fan. When not working, he enjoys spending time outdoors hiking and camping, and following the NBA and Premier League Soccer. Justin also enjoys playing guitar.