Deborah Lamb re-joined McKinley Capital as Chief Compliance Officer in 2016 after previously holding this position from 2008 – 2013. Deborah reports directly to CEO Rob Gillam and oversees the firm’s compliance, legal and risk functions. Under Deborah’s experienced leadership, McKinley has created a firmwide culture of compliance which includes awareness of possible exposures, diligence in establishing and maintaining appropriate controls, and consistency in efforts to monitor and maintain rigorous standards. Deborah has more than four decades of significant industry and compliance experience in the investment advisory, broker-dealer, and fund management fields. Deborah is only the 7th person to be awarded the distinguished Joan Hinchman Award from the National Society of Compliance Professionals. Prior to McKinley, she served as the CCO, Risk Management and AML Officer for Dividend Assets Capital, LLC, an investment adviser to mutual funds and private accounts with more than $3.5 billion in total assets, and before then was the CCO and AML Officer for Parametric Portfolio Associates LLC, a global investment adviser with more than $285 billion in total assets. Deborah served on the UCITS Board of Trustees for the McKinley Capital Dividend Growth Fund from 2012-2020. Deborah is a Certified Securities Compliance Professional (CSCP), a Certified Fraud Examiner (CFE) and a Certified Investment Funds Director (CIFD). She is a former board member and sits on the National Society of Compliance Professionals (NSCP) Finance, Education, ESG, and Investment Adviser Committees. Deborah works from the firm’s Anchorage office. She generously donates her time to the American Cancer Society and Covenant House Alaska.