Matthew serves as Associate, Compliance at Mill Creek Capital Advisors, LLC. In his role, Matthew is responsible for supporting the regulatory oversight and testing of the firm’s compliance policies, procedures, and processes.
Before joining Mill Creek, Matthew was a Senior Director of Compliance for SEI Investments, where he was responsible for overseeing the day-to-day compliance-related matters for the asset management entity of SEI. Previously, Matthew spent several years in New York as a Compliance Officer for The Bank of New York Mellon, Morningstar Inc. and Moody’s Corporation. Prior, he began his career in compliance at Citibank in Hong Kong.
Matthew received a B.S. in International Business from Saint Joseph’s University.