Jennifer is Mellon’s Chief Compliance Officer. In this role, she oversees a team of compliance personnel responsible for ethics, regulatory compliance, negotiation of agreements, portfolio guideline compliance, operational risk and monitoring and testing, among other responsibilities.
Prior to the merger, she was the Chief Compliance Officer and Chief Administrative Officer for The Boston Company, where she served as a member of the Management, Brokerage and Compliance and Risk committees, among others. Jennifer started at the firm as a compliance analyst. She was promoted to head of compliance in 2000 and then Chief Compliance Officer in 2004. In addition to her role as Chief Compliance Officer, she was named Chief Administrative Officer of The Boston Company in 2017. As Chief Administrative Officer, her responsibilities included oversight of vendor management, administration and product development.
She participates in industry associations such as the Boston Roundtable and the New England Broker Dealer and Investment Adviser Association (NEBDIA). Jennifer earned her BA in economics and political science from Merrimack College and Juris Doctorate from Suffolk University Law School. She is a member of the Massachusetts Bar Association.