As Chief Compliance Officer at Independent Financial Partners (IFP), Torian Johnson leads enterprise-wide compliance strategy across the firm’s RIA and broker-dealer platforms. He partners with executive leadership to scale IFP’s compliance program in support of advisor growth and serves as a primary liaison with the SEC, FINRA, and state regulators.
With more than 15 years of financial services and compliance leadership experience, Torian is known for building practical frameworks that strengthen oversight, improve consistency, and streamline processes for distributed advisor organizations. Prior to IFP, he led compliance programs for multiple RIAs at Key Bridge Compliance and held Chief Compliance Officer roles at Csenge Advisor Group and Newport Group. Torian earned a B.S. in Economics and Business from Lafayette College and holds Series 7, 24, and 66 licenses.