Matt’s clients mainly include hedge funds, wealth managers, private equity firms, along with all NFA registrant categories. Matt provides ongoing support to clients and assists with National Futures Association (NFA), SEC and state registrations. Additional compliance work has focused on the areas of anti-money laundering, personal trading, and mock SEC and NFA examinations.
Prior to joining Kroll, Matt spent time in the risk and compliance sector at a global bank and the NFA. Matt graduated from Butler University and holds Series 3 and Certified Fraud Examiner (CFE) certifications.