Profile: Based in the company's Boston office, Matt is the Compliance Officer for Fidessa's Buy-side division. Prior to joining Fidessa he was a Compliance Officer at Putnam Investments, providing legal interpretation of regulatory requirements and institutional client mandates. He was previously a Compliance Officer at Fidelity where he was responsible for the monitoring program for the retail fixed income business. At Fidessa Matt liaises with clients regarding pending regulatory changes and the impact of these on their business, providing guidance on best practices in employing technical solutions for the automation of compliance monitoring functions. Matt has an MBA from Suffolk University in Boston.