Bob Terry, former chief compliance officer for broker-dealer SunTrust Investment Services, recently joined Page Perry's regulatory practice group, which represents broker-dealers, investment advisers, issuers, and associated persons throughout the financial services industry.

In addition to serving as CCO of SunTrust Investment Services, Terry also served as securities counsel and due diligence officer for FSC Securities, a national independent broker-dealer. Additionally, he served as director of the Georgia Securities Division for over eight years in two separate stints, overseeing significant changes in that division resulting from the adoption of the National Securities Markets Improvements Act in 1999 and the Dodd-Frank Wall Street Reform Act of 2010. He also served in leadership roles within the North American Securities Administrators Association.