- Managing Director
- T: +1 415 293 4454
- M: +1 619 572 3074
- F: +1 213 689 1220
- 350 S. Grand Avenue
- Suite 3000
- Los Angeles, CA, 90071
- United States
- T: +1 213 689 1200
- F: +1 213 689 1220
- B.A., Sociology, University of Connecticut
- Certified Information Privacy Professional (CIPP)
- Certified Information Security Manager (CISM)
- Certified Business Continuity Professional (CBCP)
- Certified Regulatory and Compliance Professional (CRCP)
- Association of Continuity Planners (ACP)
- Defense Research Institute International (DRI)
- Information Systems Audit and Control Association (ISACA)
- International Association of Privacy Professionals (IAPP)
Ryan Smyth advises clients on a wide range of regulatory and compliance issues, with a specific focus on privacy, information security, data governance, and business continuity. He brings deep business and technical background in the financial services industry, with more than 20 years of experience in governance, risk and compliance, data security and privacy programs. He has served in senior leadership positions at IBM, Promontory, and LPL Financial and held roles at UBS and Citigroup.
Prior to joining FTI Consulting, Mr. Smyth served as Director, Privacy and Data Protection at Promontory Financial Group, where he designed and implemented privacy and information security control frameworks and data remediation projects for clients to strengthen compliance, data protection and business continuity. His background combines compliance expertise, technical knowledge and hands-on experience in facilitating regulatory requirements.
In Mr. Smyth's role as Senior Vice President, Enterprise Risk Management and Chief Security and Privacy Officer at LPL Financial, he oversaw the company’s programs in accordance with state, federal and industry laws and regulations. He also represented the firm in governance, risk and compliance matters, including serving as a key stakeholder in regulatory inquiries and scheduled audits relating to security, privacy, due diligence and other areas.
Mr. Smyth holds a B.A. in sociology, with a Business concentration, from University of Connecticut. He also completed the Certified Regulatory and Compliance Professional Program at FINRA Institute at Wharton, University of Pennsylvania. He is an active member with numerous professional industry associations for data privacy, security and disaster recovery.
Mr. Smyth's notable projects include large scale privacy program transformations, acting as an independent assessor of a privacy program pursuant to a Federal Trade Commission consent order, and leading an independent assessment of a client’s security and privacy program following a large data breach.