FacultyFaculty/Author Profile
Brian J. Murphy

Brian J. Murphy

Investcorp Investment Advisers LLC
Chief Compliance Officer
New York, NY, USA


Brian Murphy has been the Chief Compliance Officer for Investcorp’s registered investment advisers and broker/dealer affiliate since 2005. 

Prior to Investcorp, Brian spent 11 years at Goldman Sachs & Co. in various compliance functions including the Equities Institutional Sales Desk in New York and as the Regional Compliance Manager for the San Francisco Office of the Private Wealth Management Division. Brian has worked in other compliance related roles with the FINRA District 10 Office in New York, and in EF Hutton's Legal Department.

Brian graduated with a BA in Economics from State University of New York at Stony Brook and received his Masters in Business Administration from Baruch College. He holds several securities licenses including the Series 3, 7, 63 and 24.

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