Damon
Varady
Damon Varady is Director of Compliance at Signature Estate & Investment Advisors, LLC (SEIA). He supports the firm’s compliance, fiduciary oversight, operations, and reporting functions, helping maintain the processes and controls that allow SEIA advisors to serve clients with consistency and accountability.
Damon’s work is focused on translating regulatory and supervisory responsibilities into practical support for advisors and the firm’s day-to-day operations. Effective compliance requires careful attention to detail, clear communication, and an understanding of how client service, investment activity, reporting, and firm policies intersect.
With a background in financial operations and broker-dealer compliance, Damon brings an operational perspective to his role. He works across SEIA teams to help support responsible practices, accurate reporting, and a culture of transparency and continuous improvement as the firm grows.
Damon studied at Rutgers University and is based in the New York and New Jersey metropolitan area.