1-888-405-4332

Greg Bruce

Vice President, Chief Compliance Officer

Phone: (949) 622-3724
gbruce@ff-inc.com

Mr. Bruce joined First Foundation Advisors in 1998 and serves as the primary contact for regulatory matters relating to investment advisors. He is responsible for implementing and maintaining a compliance- monitoring program for federal and state regulations, rules and guidelines.

Prior to joining First Foundation Advisors, Mr. Bruce held positions as Controller of Javelin Electronics and Hysol Electronic Chemicals. He is a member of the Southern California Compliance Group.

Mr. Bruce is a graduate of the University of South Florida in the field of Accounting and completed the Personal Financial Planning Program at the University of California, Irvine. 

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Deposit and loan products offered by First Foundation Bank, Member FDIC and Equal Housing Lender. NMLS #793235.

Investment and Advisory Services provided by First Foundation Advisors, an SEC-Registered Investment Advisor. Trust Services and Insurance Services are offered through First Foundation Bank. First Foundation Insurance Services license number #0H38553.

Investment, Insurance, Digital Assets, and Advisory Products and Services:

  • ARE NOT FDIC INSURED
  • ARE NOT BANK GUARANTEED
  • MAY LOSE VALUE
  • ARE NOT A DEPOSIT
  • ARE NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY