Chief Compliance Officer
Brad joined the Thorofare team as Chief Compliance Officer in 2018. He is responsible for the development, implementation, and administration of Thorofare’s regulatory compliance program. This compliance program is subject to oversight and examination by the United States Securities & Exchange Commission (SEC). Brad has over 15 years of experience in the compliance industry. Previously, Brad spent nearly eight years as a senior consultant with ACA Compliance Group. Prior to that, Brad spent over 5 years as an Examiner/Staff Accountant with the SEC, both in the Chicago and Denver Regional Offices. Brad is also the founder of HighCamp Compliance, LLC, a boutique consulting and outsourcing firm that specializes in regulatory compliance and operational support for alternative investment managers. Brad holds inactive CPA and CAMS certifications. He graduated with honors from Hope College in Business Management.