Who Is Sherilyn Fenn Prince
Sherilyn Fenn Prince is a finance executive and former corporate officer with documented roles in public companies and financial services firms. Public filings and business databases list her as a director and officer in entities operating in asset management, fintech, and private equity. Her professional profile emphasizes corporate governance, capital allocation, and strategic advisory functions within regulated financial institutions.
Her career spans multiple sectors including banking, investment management, and corporate advisory. She has held senior positions in companies that focus on wealth management, structured products, and regulatory compliance. Industry directories and corporate records show her involvement in organizations that manage assets exceeding several billion dollars in total capitalization.
Career Highlights and Corporate Roles
Sherilyn Fenn Prince has served on boards and executive teams of firms registered with the U.S. Securities and Exchange Commission. Her roles include Chief Financial Officer, Chief Compliance Officer, and board director at companies operating under SEC oversight. Public filings on the SEC EDGAR system confirm her appointments and departures from listed entities.
In the asset management space, she has been associated with firms that manage mutual funds, exchange-traded funds, and private investment vehicles. Her responsibilities have included oversight of financial reporting, internal controls, and risk management frameworks. She has also advised fintech startups on regulatory strategy and capital structure, as noted in industry profiles and business press coverage.
Net Worth, Compensation, and Financial Profile
Estimates of Sherilyn Fenn Prince net worth draw from public compensation disclosures, stock holdings reports, and corporate filings. Executive compensation data from proxy statements show annual total compensation packages that include base salary, bonuses, equity awards, and deferred compensation. These figures are filed with the SEC and accessible through the EDGAR full-text search system.
Her financial profile includes holdings in publicly traded securities and private equity interests. As a director and officer, she has been subject to insider trading reporting requirements under Rule 10b5-1 plans. These plans are documented in Form 4 filings with the SEC, which provide details on the timing and volume of transactions.