Stephen Murphy is the Chief Compliance Officer at Cohen & Steers Securities & Funds, where they lead compliance efforts and oversee regulatory matters for broker-deals and registered funds. They bring extensive experience in building compliance programs across various sectors, including investment advisory, mutual funds, and private equity. Previously, Stephen served as Chief Compliance Officer and Anti-Money Laundering Officer at Weiss Multi-Strategy Advisers LLC from 2004 to 2017, and held roles at other prominent firms, including Merrill Lynch and Neuberger Berman. Stephen is currently pursuing a Bachelor of Science in Marketing at St. John's University and participating in a three-year program at the Securities Industry Institute.
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