Darren McMillan
Darren McMillan currently serves as Chief Compliance Officer, US Wealth Management for BMO Financial Group. In his role, Mr. McMillan manages BMO’s U.S. Wealth’s compliance team and serves as a member of U.S. compliance leadership. He is ultimately accountable for the development, implementation, management, administration and oversight of the compliance programs of BMO’s U.S. Wealth lines of business. Darren joined BMO in 2018 as Chief Compliance Officer for two affiliated FINRA and SEC dual-registrants, BMO Harris Financial Advisors, Inc. and BMO Nesbitt Burns Securities Limited. In 2020, he also served as Chief Compliance Officer for BMO Asset Management Corp. Prior to joining BMO, Darren served as Vice President, Compliance with GCM Grosvenor where he served as Chief Compliance Officer for GCM Securities LLC as well as for GCM’s UK and Hong Kong-based affiliates. Darren began his career in the investment industry in 1993 and has held various compliance-related roles at Archipelago, William Blair, Everen Securities, and Merrill Lynch. He holds an M.B.A. in finance from DePaul University and a B.S. in political science/international relations from the University of Wisconsin–Madison.