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Investment Professionals

Molly Ross is the firm’s Vice President of Compliance and Chief Compliance Officer. Her duties include development and monitoring of firm compliance policies, supervision of sales and trade practices, and approval of new accounts. She has been an Associated Person of McVean since 2009. Molly has passed the Series 3, 7 and 63 qualification exams. She holds a Bachelor of Arts in Finance from the University of Memphis.
VICE PRESIDENT OF COMPLIANCE AND CHIEF COMPLIANCE OFFICER
MOLLY ROSS
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