Paige is a senior compliance professional with over 20 years of experience in the broker-dealer industry.
Before joining CRC Oyster in 2021, she served as Chief Compliance Officer at a Boston-based investment banking firm with offices throughout the U.S. and Europe, where she implemented and executed the firm’s compliance program from its inception in 2003, growing alongside the firm for 18 years and contributing across investment banking, institutional research, trading, private equity, and international market expansion. Earlier in her career, Paige held roles in Smith Barney’s institutional fixed income group and Morgan Stanley’s institutional research and brokerage division.
Paige holds a Bachelor of Arts in Political Science from Wheaton College and maintains Series 24, 62, 79, and 99 securities licenses.

