Sean is the Chief Compliance Officer and has been with the firm since 2009. In his role, Sean is responsible for the oversight and management of the firm’s compliance and regulatory matters.
Before joining Cambridge Associates, Sean was the Assistant General Counsel at Liberty Square Asset Management, a Boston-based long-short equity hedge fund where he was responsible for general legal matters, transaction compliance, and regulatory filings. Prior to this role, Sean served as a Senior Compliance Analyst within the mutual fund division of Fidelity Investments. Sean received a Juris Doctorate and MBA from Northeastern University and a BA from Trinity University.