The Retirement Corporation of America

Diane Hulls

Chief Compliance Officer


Diane J. Hulls is the Chief Compliance Officer for The Retirement Corporation of America (RCA)

In 2014, she joined Fifth Third Bank, RCA’s parent company, as the Chief Compliance Officer for ClearArc Capital, Inc., also a registered investment adviser with the Securities and Exchange Commission (SEC) and wholly-owned subsidiary of Fifth Third.  Diane has 33 years experience in the finance industry, including over 19 years of SEC compliance experience.  Previously, she was with Mainstream Investment Advisers, LLC where she served as the firm's chief compliance officer and was responsible for all day-to-day business matters outside of investment strategy.  Prior to Mainstream, Ms. Hulls served in various financial and investment capacities at Providian Corporation. 

She graduated with a B.S. in Business Administration, with a major in accounting, from Franklin University and later earned her MBA from Bellarmine University.


Contact Information:

Phone: (513) 534-7452

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