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Molly is the investment compliance team lead at Brown Advisory. She is responsible for deploying and maintaining trading rules based upon client investment guidelines and regulatory requirements. Prior to joining the firm, Molly worked as a Financial Analyst at McCormick & Company in reporting and accounts payable departments.

Education

  • University of South Carolina, BS in Business Administration

Community Involvement

  • Volunteer, Night of Peace Family Shelter
  • Past Campaign Leader, Leukemia & Lymphoma Society

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