SHANON CADDICK, CPA, IACCP®
Chief Compliance Officer & Finance Director
Shanon Caddick is the Chief Compliance Officer & Finance Director at The Fiduciary Group and is responsible for implementing and further developing the firm’s compliance program. She also oversees corporate finance, accounting and human resources, as well as supervising the client services team.
Prior to joining the firm in 2016, Shanon spent 16 years in corporate finance and public accounting, specializing in financial and compliance audits.
A Savannah native, Shanon earned her Bachelor of Business Administration and Master of Accountancy from Georgia Southern University. She is a Certified Public Accountant and has obtained the NRS Investment Adviser Certified Compliance Professional® (IACCP®) designation.
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The Fiduciary Group, LLC (“TFG”) is registered with the United States Securities and Exchange Commission as an investment adviser. Brokerage and investment advisory services and fees differ and it is important for you to understand the differences between them. Free and simple tools are available to research firms and financial professionals at Investor.gov/CRS, which also provides educational materials about broker-dealers, investment advisers, and investing. Page 1 of 2 ITEM 2: What investment services and advice can you provide me? CONVERSATION STARTERS: Ask Your Financial Professional… “Given my financial situation, should I choose an investment advisory service? Why or why not?” “How will you choose investments to recommend to me?” “What is your relevant experience, including your licenses, education, and other qualifications? What do these qualifications mean?” We offer investment advisory services to retail investors.
TFG primarily provides wealth management services to high-net-worth individuals and families, and investment management services for trusts, estates, pension, 401(k) and profit-sharing plans, nonprofit organizations, and other legal entities. Where requested, the principals of TFG accept appointments in their individual capacity as trustee, executor, and/or power of attorney
We offer a wide range of wealth management services to our clients who own separately managed accounts. We work with each client to establish an appropriate investment policy statement (IPS) based on the client’s objectives, unique circumstances, time horizon, and risk tolerance. We generally invest client assets in domestic and international stocks, bonds, mutual funds, and exchange traded funds (“ETFs”).
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