Sean Hanna is the Chief Compliance Officer and Managing Director at Cambridge Associates.
Sean has been with the firm since 2009 and has served as the Chief Compliance Officer since 2015. Previously, Sean served as Legal and Compliance Counsel at Cambridge Associates. With a global team of compliance professionals, he is responsible for the oversight and administration of the firm’s compliance program.
Before joining Cambridge Associates, Sean was the Assistant General Counsel at a long-short equity hedge fund and a Senior Compliance Analyst at Fidelity Investments.
Sean received a Juris Doctorate and MBA from Northeastern University and his BA in Economics from Trinity University.
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