Ms. Furda joined the firm in 2005 and is responsible for implementing the firm's overall compliance program and monitoring the day to day execution of policies and procedures which are necessary to ensure compliance with all federal and state securities laws and the firm's code of ethics. Ms. Furda also maintains contact with MRC's investors and clients on an ongoing basis and is tasked with monitoring client portfolios to ensure assets are invested in accordance with the Firm's investment guidelines and governing documents. In addition, Ms. Furda is responsible for internal operations. Prior to joining MRC, Ms. Furda worked for a wealth management firm, assisting high net worth individuals with their financial planning needs, through stocks, bonds, mutual funds and insurance products. Ms. Furda graduated from Columbia University with a Bachelor of Arts degree.
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