Brian Fahey is the Chief Executive Officer of MyComplianceOffice. He has been delivering complex technology solutions for the capital markets industry across US, Europe and Asia for over 30 years. He combines his deep knowledge of GRC for the capital markets industry with his extensive technical experience to delivery industry leading Risk and Compliance IT solutions to the capital markets industry that can adapt to rapidly changing business and regulatory environments. Prior to joining MyComplianceOffice, Mr. Fahey ran a Consulting practice for Access Data, a firm that specialized in technology solutions for the investment industry. He also managed investment systems at John Hancock Funds and was CTO for a smaller institutional asset manager. Brian has a Bachelor of Commerce and Master of Management Science degrees from University College Dublin and has an MBA from Northeastern University.