Compliance Department

Edward F. Hurley, MBA - Chief Financial Officer

In addition to being responsible for the oversight of Beaumont’s financial operations Ted is actively involved with the billing, budgeting and financial statement processes. Ted also assists with Beaumont’s compliance program and on-going compliance reviews.

Ted is a magna cum laude graduate of Babson College after which he earned an MBA from Bentley University. Prior to joining Beaumont, Ted worked for Liberty Mutual in their Treasury and Internal Audit Departments.

Michael Snyder, MBA - Chief Compliance Officer

Michael is responsible for all aspects of compliance and risk management including ADV updates, regulatory reporting, registrations, personal trading, firm policies, procedures and manuals, and marketing review. Additional responsibilities include training and special projects.

Michael earned both his undergraduate degree and MBA from Bentley University, and has been in the financial services industry since 1997. Prior to joining Beaumont, Michael held various compliance and risk management positions at Fidelity Investments, World Savings, and State Street Corporation.

Anne Archbald, JD - Compliance Associate

Anne’s responsibilities include approving marketing and advertising materials, verifying performance for the firm’s investment strategies and composites, reconciling employee trading activities, conducting ongoing testing and revision of policies and procedures, assisting with regulatory filings, and reviewing contracts. She also researches regulatory developments and works on other compliance-related initiatives.

A graduate of Boston College and Boston College Law School, Anne is a member of the Massachusetts Bar. She has previously worked in the financial services industry on an Anti-Money Laundering Remediation project and as a clerk in several law firms.