Ms. Sisk joined EIG as a Compliance Associate in September 2018. Prior to EIG, Ms. Sisk was a Compliance Analyst with Seabury Capital, focused on their investment banking practice. She previously worked for a publicly-traded real estate investment trust, where she focused on post-merger integration efforts before transferring to the compliance department of the company’s associated wholesale broker-dealer. Before moving into financial services, Ms. Sisk worked for a Broadway production company. She received a B.A. in History and Religious Studies from the University of Virginia. She is a FINRA registered representative with Series 24, 7, 79 and 99 licenses and a graduate of the FINRA Institute at Georgetown’s Certified Regulatory and Compliance Professional program.