Richard W. Kemp, J.D., TEP
Chief Compliance Officer, General Counsel, AML/BSA Officer and Managing Director
Mr. Kemp is an experienced fiduciary professional and lawyer with strong leadership skills and a detailed knowledge of complex trust, investment, insurance and related offerings for high net worth clients.
Prior to joining New York Private Trust Company, Mr. Kemp, served as Director and Senior Trust officer for UBS Trust Company in Wilmington, DE. While with UBS Trust Company, Mr. Kemp was responsible for the effective and fully compliant administration of trusts for high net worth clients. Previously Mr. Kemp worked for HSBC and JP Morgan Chase in a fiduciary and investment product development and management role. Mr. Kemp began his career with the United States Trust Company of New York.
Mr. Kemp received a B.B.A. degree in Taxation and Accounting from Pace University and a J.D. from Seton Hall University Law School. He is a graduate of Duke University’s Fuqua School of Business Executive Manager Development Program.
Mr. Kemp is a member of the New York State Bar Association, and admitted to the State of New York, United States Tax Court. He is also a member of the Society of Trust and Estate Practitioners (STEP) and the Estate Planning Council of Delaware.