Bobby Boyce
Chief Compliance Officer
Bobby Boyce is Chief Compliance Officer of Diamond Client Group and Good Bull Capital with more than 21 years of experience across registered investment advisers, private equity managers, broker-dealers, and investment management platforms. He has served in senior leadership roles including Chief Compliance Officer and Director of Compliance, overseeing regulatory compliance programs for advisory firms, private funds, and registered products.
His experience includes Advisers Act compliance, private fund oversight, regulatory reporting, AML and KYC programs, code of ethics administration, best execution reviews, marketing and advertising review, and firm-wide risk assessments. Bobby has led annual compliance reviews, supported SEC examinations and mock exams, and partnered closely with legal, operations, portfolio management, and fund administration teams.
Bobby is known for a practical, risk-based approach to compliance that emphasizes strong governance, clear policies and procedures, and effective collaboration with business stakeholders. He holds a Master of Science in Financial Crime and Compliance Management and actively participates in industry compliance forums focused on regulatory best practices.
In his personal time, Bobby enjoys watching all things sports, playing golf, traveling, and spending time with his wife and twin teenagers.