Minneapolis Office 
Office: 952-746-6052
Email: estolp@blueroseadvisors.com
Emily K. Stolp 
Vice President & Chief Compliance Officer 

Emily Stolp, Vice President, has 23 years of experience in public finance.  She serves as the firm’s Chief Compliance Officer and maintains responsibility for client contracts and disclosures. She also serves on the project team for many of the firm’s clients, specializing in documentation review and legal requirements. 

 

Ms. Stolp works in conjunction with senior advisors to obtain favorable bond and swap document provisions for our clients.  She also manages the competitive bidding process in connection with the investment of bond proceeds, including preparing the term sheet and other required documents, interacting with bidders, bond and tax counsels, and other financing team members, and ensuring timely closings.  Prior to joining Blue Rose in 2011, Ms. Stolp worked for 15 years with two nationally recognized financial advisory firms, serving higher education, non-profit, health care and municipal clients. She has worked on a variety of financings, including revenue, general obligation and lease transactions, as well as pooled cash-flow borrowings and derivative transactions. 

Education

Ms. Stolp has a bachelor’s degree in English and journalism from the University of Tulsa.  She passed the MSRB Series 50 Examination to become a qualified municipal advisor representative.

  • White LinkedIn Icon
Registrations 
Blue Rose Capital Advisors is an independent financial advisory firm that does not engage in underwriting activities. We are registered with the Securities and Exchange Commission (SEC) and Municipal Securities Rulemaking Board (MSRB) as a Municipal Advisor. Because we have not engaged in underwriting activities in our history, we generally qualify as an Independent Registered Municipal Advisor (IRMA).