Sean is Chief Compliance & Risk Officer at the firm. He is responsible for the oversight and execution of the regulatory compliance and risk management program.
Prior to joining the firm, Sean worked for Boston Trust Walden where he managed the compliance, risk management, internal audit, and vendor management programs. Prior to this, he served as the Vice President of Internal Audit at AMG. Before that, Sean spent 8 years as Director of Compliance & Operational Due Diligence at Prime Buchholz. He also has varied experiences at Evergreen Investments, JL Kaplan Associates, and Brown Brothers Harriman.
He holds a degree in Economics from the University of Maine, and a JD from the Massachusetts College of Law.
Sean enjoys spending time with his family, coaching, officiating, and cheering on his kids’ sporting events, and relaxing at the beach.