Mark Marrone joined BOK Financial Corporation in July 2016 and currently serves as Senior Vice President, Director of Investment Management Compliance, and the Chief Compliance Officer for Cavanal Hill Investment Management, Inc.
Mark has over 25 years of experience in the securities industry. Prior to joining Cavanal Hill Mark assisted fund companies and RIAs in meeting their compliance requirements, reviewed and prepared compliance manual, performed various forensic testing and service provider site visits, attended Board meetings, and provided compliance advice.
Mark has a Master of Business Administration Degree with an emphasis in Accounting and International Business from Pace University, and a Bachelor of Business Administration with an emphasis in Finance and Economics from Baruch College. Mark holds both a Series 7 and 63 license.