Robyn, as MCM’s CCO, is responsible for the structure, implementation and management of MCM’s compliance program. Robyn is an Investment Advisor Certified Compliance Professional (IACCP) designee, and a member of MCM’s Executive Team. She began her tenure at MCM in 2009 as a member of the Operations team, and in 2016 joined the Real Estate team as an asset manager for client-owned properties, specializing in finance and accounting. In 2024 she assumed additional responsibilities in Compliance, prior to stepping into the CCO role in 2025. Prior to joining MCM, she served as a financial operations principal and compliance officer for a small independent member NYSE/FINRA broker/dealer.
Robyn earned her B.A. from Williams College and resides in Sunderland, Vermont with her blended family and rescue pets. A lifelong New Englander, Robyn is an avid knitter, and also enjoys reading, live music, hiking and running.
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