Associate Board
Joe is a Vice President in the Compliance Department of Macquarie’s Risk Management Group. He provides regulatory advice to Macquarie’s advisory, trading, asset management and principal investment businesses in the Americas. He also coordinates regulatory interactions with the Federal Reserve. Prior to joining Macquarie, Joe was a Managing Associate in the restructuring group of Dentons US LLP. Joe received a (Honors) B.S. in Business Administration from the University of Delaware and a J.D (cum laude) from St. John’s University School of Law.