Grace joined Raymond James in 2004 as a compliance advisor and in 2006 was promoted to senior compliance specialist. She joined the Financial Institutions Division in 2009. Prior to Raymond James, Grace was a senior equity and options trader for BrownCo (then a division of J.P. Morgan Chase). She earned a bachelor’s degree in finance with a minor in economics from the University of South Florida. She holds the FINRA Series 4, 7, 24, 53, 63 and 66 and life, health and variable annuity licenses.