William Ware Bush, Chief Executive Officer and Principal
Mr. Bush has thirty-six years of experience in the financial services industry. He joined the Aspen Partners, the parent firm of Frontier Solutions, in 1998. Previous to joining Aspen Partners, he served in a variety of roles at investment banks and management firms. He started his investment career as an Institutional Salesman for E. F. Hutton & Company and was a Vice President at Donaldson, Lufkin & Jenrette. At Aspen, he helped design, structure and promote investment programs in Managed Futures and Hedge Funds. He is Series 7, 24, 63, and 65 licensed.
Mr. Bush in his career has successfully raised investment capital from institutions for a diverse lineup of traditional, as well as, significantly alternative investment programs. As a result of his extensive background, he recognizes the important role of an institutional broker/dealer to offer flawless compliance services and facilitate the success of clients who use the services of Frontier Solutions.
Bryan R. Fisher, Director of Business Development
Mr. Fisher joined Frontier Solutions at its inception in 2005 and became a Director in the company in 2007. Focused on business development, his primary responsibility is bringing new institutional professionals to the Frontier platform while also being an advocate for existing agents. Mr. Fisher brings over 20 years of financial service experience specializing in institutional capital raising activities in the alternative investment space. He is Series 7 licensed.
Debbie Terry, Chief Financial Officer
Ms. Terry is responsible for all aspects of the accounting, financial reporting and internal controls of the firm.
Ms. Terry has over twenty years of accounting experience in both private industry and public accounting. She has provided accounting and advisory services to businesses in a variety of industries including: financial services, construction, land development, real estate sales and rental, manufacturing, retail, and service industries.
Ms. Terry is a CPA licensed in the state of Georgia and a member of the Georgia Society of CPAs and the American Institute of Certified Public Accountants. She is Series 28 licensed. She received her Bachelor of Science degree in Accounting from Boston University and her MBA in Finance from Kennesaw State University.
Davis Vick, Director of Compliance and Operations
Mr. Vick is responsible for all aspects of regulatory compliance and day-to-day operations of the firm.
Mr. Vick has spent his entire career in the financial services field primarily for broker dealers specializing in private placements. Mr. Vick worked the past two years as Director of Fund Operations for a private lending fund and previously was Chief Compliance Office for Aspen Partners. Mr. Vick also spent several years as Chief Compliance Officer of Maymont Partners, an alternative investment broker dealer, and at the Federal Reserve Bank in the Research Department as a manager over financial reporting for the banking sector.
Mr. Vick is Series 7, 24, 27, and 79 licensed. He received his Bachelor of Arts degree in Economics from the University of Virginia and his MBA from the University of Richmond.