Vanessa Fiore
Chief Compliance Officer
Vanessa joined Nia in 2026, leading Nia’s compliance team. In her role, she is responsible for implementation, oversight, and monitoring of our compliance programs.
Vanessa is outsourced CCO at Nia and employed at Adviser Compliance Consulting, Inc. She brings deep expertise in SEC investment adviser regulations with almost 20 years in the industry and over a decade of extensive experience advising financial service firms. Her expertise includes creating a strong compliance culture by supporting proactive engagement to assess evolving needs. She also provides timely insights on regulatory developments, trends and best practices to navigate any challenges and inform decision making.
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​​Prior to joining ACC, Vanessa was a senior principal consultant at ACA Group for more than eight years. At ACA, she led and managed various client relationships and teams with the development and administration of all aspects of their compliance program, including registration, policies and procedures, regulatory filings,
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monitoring and testing, formal reviews and other applicable activities customized according to client needs. She also guided clients through all phases of SEC examinations–from document production to deficiency letter response.
Vanessa graduated from Pennsylvania State University with a Bachelor of Arts in Journalism and minor in law and liberal arts.