BA, Centre College
Doug MacKinnon has 23 years of securities industry experience and has been focused on regulatory compliance roles for the last 17 years. Mr. MacKinnon specializes in the development and testing of compliance programs, drafting policies and procedures, and counseling clients on regulatory matters.
Prior to joining Foreside, Mr. MacKinnon was a Senior Compliance Consultant with Hardin Compliance, and a Senior Compliance Program Manager, Vice President at PNC supporting the compliance programs for the bank’s affiliated broker-dealers. Specific responsibilities included management of PNC’s Control Room and running the compliance programs for PNC’s institutional advisory broker-dealers. Prior to PNC, Mr. MacKinnon was a Compliance Manager at Hilliard Lyons, a dually registered investment advisor and broker-dealer. Mr. MacKinnon has extensive experience with developing written supervisory procedures, coordinating regulatory examinations, managing securities registrations and testing supervisory controls.
Mr. MacKinnon holds the designation Investment Adviser Certified Compliance Professional (IACCP®) from National Regulatory Services, Inc. and the FINRA Series 7, 9, 10, 24, 63 and 79 licenses.