David is a Senior Compliance Officer at Brown Advisory. He is responsible for providing advice on compliance issues to the senior leadership of Brown Advisory's private client business and the firm broadly. Prior to joining the firm in 2021, David held various positions at the U.S. Securities and Exchange Commission, where he provided legal guidance regarding regulatory and enforcement matters involving the asset management industry. Prior to that, David was an attorney at WilmerHale LLP, where he advised clients on securities law matters.

Education

  • George Washington University, BA
  • Columbia Law School, JD

Certifications

  • Chartered Alternative Investment Analyst (CAIA)

Colleagues

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