Cece is a managing attorney in LPL’s Compliance, Legal, and Risk organization, specifically the Head of Regulatory Inquiries & Strategy. She and her team are responsible for representing the firm in complex regulatory matters and advising on regulatory strategy. She is located in LPL Financial’s Fort Mill office.
Prior to joining LPL Financial in 2015, Ms. Mavico was in private practice where she focused on securities regulatory and enforcement matters and was a senior regulatory specialist with the NASD in Washington, DC. Ms. Mavico started her career in the financial services industry in compliance and supervisory roles and held various securities and insurance licenses. Ms. Mavico received a Bachelor of Science in Finance from Trinity University and a Juris Doctor from American University, Washington College of Law. She is a member of the New York, District of Columbia and Texas Bar Associations.