• 667 Madison Avenue New York City, NY, 10065
  • office@afundc.com
  • 917-464-3775
  • 203-653-7159

Brian F. McNally has almost 30 years of regulatory experience as investment management lawyer and compliance professional, including senior roles at the U.S. Securities & Exchange Commission, in private law practice at two national law firms, and in house as general counsel and chief compliance officer of a prominent investment adviser. Brian also served as chief compliance offer of a family of mutual funds for more than a decade, director of an offshore UCITS fund family based in Dublin, Ireland, and in other senior executive roles.
 
Brian began his career in 1986. Mr. McNally received his A.B., magna cum laude, from Hamilton College, and his J.D. from the University of San Francisco School of Law, where he was a Member and Articles Editor of the Law Review. Mr. McNally is the author of a number of articles in the investment management and securities law areas, including articles in The Investment Lawyer. Brian is a member of the District of Columbia Bar Association, Pennsylvania Bar Association (in-house license), and American Bar Association.