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Brian is a Senior Manager for the Firm’s Regulatory Compliance Services group. He has over ten years of experience performing compliance services in various industries, including financial institutions, investment advisors, broker-dealers, trust companies and loan and finance companies. 

Brian has experience analyzing and evaluating institutions’ compliance with federal and state statutes and regulations. He has experience in numerous areas including the Bank Secrecy Act, Truth-in-Savings Act, Electronic Fund Transfers Act, Truth-in-Lending Act and other areas. Brian also has expertise in a range of niche compliance areas including the ESIGN Act, Regulation R and Overdraft Protection Programs. 

Brian resides in Waltham, MA. In his free time, he enjoys doing artwork, being outdoors, and spending time with his family.