
Steve HostetlerFounder, Chief Compliance Officer

Steve leads the development and implementation of a comprehensive compliance program meeting all regulatory requirements and protecting the client franchises of advisor teams executing on the Indivisible Partners Wealth Platform. He is also responsible for establishing the investment capabilities and solutions leveraged by our advisor teams to help improve the quality of decision-making. Steve shares our client-first commitment to excellence in our delivery of comprehensive, objective advice, and believes this is not just the foundation of investment advice, but of compliance initiatives as well.
Prior to co-founding Indivisible Partners, Steve worked for 24 years in diversified roles across the financial services industry. He began his career as an investment banking analyst in Merrill Lynch’s Financial Institutions Group, covering wealth, asset management, and insurance company clients. Over 9 years, Steve served in increasingly senior roles in this group as Vice President at the Global Wealth & Investment Management (GWIM) segment of Bank of America, and as a member of the Strategy and Business Development team. Steve then became Managing Director and leader of GWIM Strategy, Business Reporting, and Analytics, and led the Chief Operating Officer function for Global Wealth and Retirement Solutions.
Steve then transitioned to a series of Chief Administrative Officer and Chief Risk Officer roles, leading implementation of critical enterprise-wide regulatory requirements at Bank of America. He established an enterprise-wide Program Management Office to lead execution of Bank of America’s most critical regulatory and strategic priorities, and led Strategy, Governance, and Operations supporting Bank of America’s Data Management and Financial and Non-Financial Regulatory Reporting activities.
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