Regina Ryan

Compliance Officer

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Phone: 610-296-3393
Fax: 610-640-0753
E-mail:


Regina is Vice President, Chief Compliance Officer of IFG, AFMG and AFG.  She joined AFG in 1985. She is a fully licensed securities broker, including Principal Series 24, and serves as Chief Compliance Officer for our Registered Investment Advisory businesses. Regina heads the compliance programs, coordinates the Continuing Education and training programs, and aids in solving any problems which may arise from our 16 IFG investment advisory associates and 15 Walnut Street representatives.  She is a registered representative and  Branch Manager for Walnut Street Securities, Inc.  Regina holds a ChFC designation.