
Rosanna Coviello
As the Risk and Compliance Officer of Gladstone Wealth Partners, Rosanna works closely with the Firm’s Chief Compliance Officer and Chief Risk Officer in developing and updating policies and procedures, conducting forensic testing, identifying and mitigating risks, and fostering a culture of compliance.
Rosanna attended Montclair State University where she graduated summa cum laude with a Bachelor of Arts in Jurisprudence, Law & Society. More recently, she graduated with distinction from Seton Hall University School of Law with a Master in Legal Studies in Financial Services Compliance. Her FINRA Series 7 and 24 registrations are held with LPL Financial, and her Series 66 registration is held with Gladstone Wealth Partners.
Securities offered through LPL Financial, Member FINRA/SIPC. Advisory Services offered through Gladstone Institutional Advisory, LLC, a registered investment adviser. Gladstone Wealth Partners and Gladstone Institutional Advisory LLC are separate entities from LPL Financial.