Managing Director, Chief Compliance Officer
Robyn is responsible for the design, implementation and oversight of MCM’s compliance program. Robyn joined the MCM compliance team in 2024. In 2025 she earned the Investment Advisor Certified Compliance Professional® (IACCP®) designation and stepped into the CCO role. Robyn continues to support MCM’s private real estate investment team (since 2016) as well, including financial analysis and asset management for MCM real estate clients. Robyn joined MCM in early 2009 as a member of the Operations team where she was heavily focused on data management and performance reporting. 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 with her husband, blended family and rescue pets.
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