MANAGER, AUDIT AND ASSURANCE GROUP
Justin first joined Snodgrass as an intern, and he started full-time with the firm in January 2018. Since then, he has taken on additional responsibilities and expanded his skill sets in a variety of auditing and assurance areas, with particular focus on topics related to financial institutions, employee benefit
plans, and broker-dealers.
Justin’s background also includes extensive SEC experience with public reporting companies, and he has assisted with filings under the 1933 and 1934 Acts and the Sarbanes-Oxley Act of 2002. He has experience planning and coordinating audits of internal controls under the Federal Deposit Insurance Corporation Improvement Act and has helped clients navigate
through business combinations. He takes a client-centric approach to all work he performs, with the aim of building friendly client relationships while providing assistance with complex accounting and financial matters.