First Horizon Advisors Inc. reshuffles leadership, with Karen Morton Kruse transitioning to Chief Compliance Officer. Kruse, previously President of First Horizon Advisors Inc., now assumes the role of Chief Compliance Officer, according to FINRA records. Her CRD number is 1427598.
First Horizon Advisors Inc., a small corporation founded in Memphis, Tennessee on October 24, 1985, operates under the SEC and FINRA regulation. The firm, wholly owned by First Horizon Bank, has a presence in three states and is known for its municipal securities dealing activities. The firm acts as an introducing broker, partnering with National Financial Services LLC for clearing services.
As of the latest financial snapshot, First Horizon Advisors Inc. reported total assets under management, though specific figures were not disclosed in the available data. Source: FINRA BrokerCheck records and SEC FOCUS filings.