A Dynamic Career Environment
Opportunities for investment and support professionals



Compliance
HMC's Compliance team, led by of Chief Compliance Officer, Kate Murtagh, advises HMC's investment professionals on legal, tax and regulatory matters affecting investment activity across the endowment. Working closely with portfolio managers on the external platform, as well as outside counsel, our attorneys structure, negotiate, and monitor both direct and fund investments. On the internal platform, our attorneys coordinate with in-house trading professionals and outside counsel to negotiate counterparty trading agreements and monitor daily trading activity for regulatory compliance. Members of the Compliance team are also responsible for corporate governance matters, coordinating all correspondence between HMC and its Board of Directors and standing Committees.
