Robin Freeman, CSCP-IA, Series 24
Chief Compliance Officer
LaSalle Investment Management
Professional Bio
Robin Freeman is Chief Compliance Officer for LaSalle Investment Management, as well as LaSalle Debt Investors, both registered Investment Advisors, and LaSalle Investment Management Distributors, LLC, a registered broker/dealer and exempt market dealer business. Ms. Freeman joined LaSalle in 2019 and in these roles, she develops and implements compliance program, policies and procedures, provides oversight and registration services and acts as liaison with regulatory agencies for each entity. Prior to joining LaSalle, she was Deputy CCO at Legal & General Investment Management America and a Compliance Manager at Nuveen Securities.
Prior to joining LaSalle, Robin was the Assistant Chief Compliance Officer and Chief Information Security Officer at Legal & General Investment Management America from 2014 – 2019 and was responsible for the development, enhancement and oversight of the compliance program for LGIMA's regulatory requirements, as well as its cyber security and information security programs. Prior to LGIMA, Robin was Vice President, Compliance Manager at Nuveen Investments for approximately 18 years. During her tenure, Robin had compliance oversight of the Broker-Dealer and General Corporate Compliance Programs. Prior to Nuveen, Robin was a Corporate and Securities Paralegal at Sidley Austin for six years in the Derivatives and Corporate/Securities Groups.
Robin holds a BA in Political Science from Purdue University and a Paralegal Certificate in International Trade Law and Business from the Philadelphia Institute of Paralegal Studies. Ms. Freeman holds a Series 7, 24 and 63, as well as a Certified Securities Compliance Professional _IA (“CSCP - IA”) certification from NSCP.
Organization
Chicago, IL 60604
United States 312-506-3462
Member
LaSalle Investment Management