Joseph J. Docter, CFA

Partner and Portfolio Manager

Adam N. Benson, CFA

Partner and Portfolio Manager

John D. Crowther, CFA

Co-Portfolio Manager/Partner

Steven D. Sorenson

Director of Marketing and Client Service

Jason K. Mitchell

Chief Compliance Officer

Nina E. Theiss, CIPM

Managing Director, Trading

Zang Xiong

Operations Manager

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Chief Compliance Officer

Jason joined Summit Creek Advisors in February 2014 as Chief Compliance Officer.  As CCO, Jason is responsible for all compliance functions of the firm.  Jason joined the financial services industry in 1999, dedicating himself to Compliance in 2004.  Prior to joining SCA, Jason was a Senior Compliance Associate at Galliard Capital Management where he oversaw the creation and management of the firm’s Compliance policies and procedures, as well as being responsible for Investment Advisory Compliance and advertising review.  He previously served as a Compliance Manager at U.S. Bancorp Asset Management where his responsibilities included Investment Advisory Compliance, SEC exam coordination, Code of Ethics administration, as well as leading the organization’s Compliance training program.  In addition to his responsibilities at SCA, Jason serves as the co-editor and contributing author to the publication Modern Compliance:  Best Practices for Securities and Finance. Jason graduated with a BA in economics and management from the University of Minnesota, Morris.


© 2021 Summit Creek Advisors, LLC.  All rights reserved.

120 South 6th Street

Suite 2200
Minneapolis, MN 55402

Phone:    612-746-8990

Fax:         612-746-4765

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