Stacey A. Scheb

Stacey A. Scheb

Chief Compliance Officer

Ms. Scheb, Chief Compliance Officer, has the primary responsibility of overseeing all investment adviser related compliance. Ms. Scheb joined DTIP in 2015 as the Associate Director of Client Services, with the primary responsibility of supporting all of the firm’s new and existing advisors and client relationships. Her responsibilities include oversight of multiple custodial relationships, relationship management and the monitoring of ongoing client accounts to ensure adherence with the client’s specific investment policy statement Prior to joining DTIP, Ms. Scheb was an Operations Manager at BNY Mellon working closely with the Compliance department implementing and overseeing compliance related policies and procedures. Prior to BNY Mellon, she held operational and client servicing roles with PNC Investments. Ms. Scheb is a graduate of Cabrini College with a Bachelor of Arts degree and previously held FINRA Series 7 and 24 licenses.