Brian J. Durkin,

Chief Compliance Officer

Brian’s almost three decades in the industry affords him valuable experience and insights for his role as Chief Compliance Officer. He is responsible for establishing standards and implementing procedures to ensure that Braver’s compliance program is both effective and efficient in meeting all financial regulatory requirements. Since 1989 he has worked in a variety of financial service industry roles covering internal audit, relationship management, business development, operations management, information systems, corporate finance & accounting, and investment advisor compliance for leading financial services firms including Fidelity Investments, Putnam Investments, Thomson Financial, Cadence Capital Management, and Congress Asset Management. Brian joined Braver in 2015.

Brian is a graduate of University of Massachusetts at Amherst where he earned a B.A. in Economics.

As a compliance professional it’s my job to provide the leadership needed to ensure that honesty and integrity are and remain the focus of each employee in delivering investment advisory services to clients.



P: 617.559.3424