Our Team

Real Experienced Practitioners, not just Consultants

Paul A. Murdock

Founder & Managing Director

Paul is a seasoned financial services professional with proven experience leading compliance engagements for broker-dealers, banks, investments advisers, hedge funds, private funds and mutual fund companies.

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Michael T. Dorsey

Senior Consultant

Mike brings a proven track record in the securities and trade industry advising executives of broker-dealers and investments on all regulatory aspects of their businesses including fixed-income trading and securities lending and alternative trading systems and Regulation ATS.

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Stephen O. Simon

Senior Consultant

Stephen brings to MCG over 20 years securities industry expertise as a supervisor with FINRA and is recognized as a national expert in the membership application process (MAP). He is also versed in FINRA’s examination and CORE sections.

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Joseph Guarino

Senior Consultant

Joe provides expertise in developing and maintaining compliance programs within the trust, banking and asset management business. He is a seasoned SEC Examiner and Chief Compliance Officer with broad operational experience and product knowledge.

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Augusto Macedo

Senior Consultant

Gus has 25 years expertise in conducting investigations, inspections, examinations and audits, and establishing, supervising and monitoring compliance and risk management programs.

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Edward V. Evanick

Director

Edd brings full life-cycle solutions implementation, extensive project and Project Management Office and business innovation expertise to the MCG Compliance Services engagement team.

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Maya Brown

Marketing Consultant

Maya is a marketing strategist who oversees the digital and social media marketing for MCG Consulting. 

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