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Employee Gregory Campbell
Chicago 181 West Madison Street, 36th Floor Chicago, IL 60602
Gregory B. Campbell
Chief Compliance Officer
Greg Campbell is Chief Compliance Officer for CIBC Private Wealth Management, with more than 20 years of industry experience. In this role, he is responsible for overseeing all aspects of the compliance program through policy review, testing and monitoring.
He has served in various capacities since joining the firm in 2004, including general counsel and chief compliance officer for the registered investment adviser of CIBC Private Wealth Management and the Atlantic Whitehall Funds. Prior to joining the firm, he served as chief compliance officer and compliance attorney for the investment management department of William Blair & Company LLC, and chief compliance officer of the William Blair Funds, beginning in 1986. Previously, he was a staff attorney for the Chicago Mercantile Exchange and an attorney/investigator for FINRA.
Greg earned a Bachelor of Science in finance from the University of Illinois at Urbana-Champaign and a Juris Doctor degree from IIT/Chicago-Kent College of Law with honors.
He is admitted to practice in Illinois. In 2016, he was honored with a CIBC Unsung Heroes Achievers Award.
Representing CIBC Private Wealth Group, LLC.
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