Chief Compliance Officer
Tammy Harp is the Chief Compliance Office at CH Investment Partners. Prior to joining CH Investment Partners in 2019, Tammy was with USAA for over 11 years where she most recently served as the Deputy Chief Compliance Officer of its two investment advisers, USAA Investment Management Company and USAA Asset Management Company. She was previously with The Northwestern Mutual Life Insurance Company where she held roles in investment compliance, private placement operations and mutual fund accounting, and with Strong Capital Management where she specialized in fixed income and money market mutual fund compliance. Tammy received a M.B.A. from Cardinal Stritch University and a B.S. in Finance from the University of Wisconsin – La Crosse. She also holds the Investment Adviser Certified Compliance Professional designation.