Wilson has been an officer with Barrett & Company for more than 30 years and the helm as Firm President for over a decade. It is under his leadership that Barrett & Company has added Investment Advisory services to its full service brokerage; providing clients with a full range of investment options to best serve their needs.
Wilson holds the following FINRA registrations: Series 7 - General Securities Representative, Series 24 - General Securities Principal, Series 27 - Financial and Operations Principal, Series 55 - Limited Representative-Equity Trader, Series 63 - Uniform Securities Agent State Law and Series 65 - Uniform Investment Adviser Law. He has served on the FINRA District 11 Commission and the FINRA Small Firm Advisory Board.
Wilson earned a B. A. from Denison University.
Rocky Hill School, former Finance Committee Chairman, 2008-2013
Meeting Street Center, Providence RI, 2003-2008