Timothy Lyle serves as Chief Compliance Officer for Cumberland Advisors, having joined the firm in September of 2016.
Mr. Lyle has over 30 years of experience in the financial services industry. Since 1997, he has served as either the Chief Compliance Officer or CEO for the firms he has worked with. He is a past member of the FINRA District 4 Committee; serving as Chairman in 2003. Tim has served on various other financial industry committees including the FINRA Advisory Board, Series 7 Task Force, the FINRA Series 7 Item Writing and Content Review Committee, and the first Compliance Committee for the Financial Services Institute. He currently serves as a member of the FINRA SIE Item Writing and Content Review Committee. He is a frequent speaker and panelist on the practical aspects of applying industry rules and has been engaged on numerous occasions as an expert witness.
Tim received his BSBA in Aviation Administration from The University of North Dakota, and an MBA from the University of St. Thomas, St Paul MN.