Brooks F. is a seasoned legal and compliance professional with extensive experience in the financial industry. Currently serving as Principal, Legal & Compliance at Blue Owl Capital since November 2024, Brooks previously held the position of Executive Director, Legal & Compliance and Broker-Dealer Chief Compliance Officer at GCM Grosvenor from May 2021 to November 2024, overseeing compliance programs for Registered Investment Advisers and broker-dealers. Prior experience includes roles at Citadel, where responsibilities included monitoring event-driven positions and heading the US Control Room, as well as compliance examinations at the Financial Industry Regulatory Authority (FINRA). Educational qualifications include a Doctor of Law degree from Chicago-Kent College of Law and a Bachelor of Arts in Economics and Political Science from Indiana University Bloomington.
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