Todd Dumas

Leadership

Todd Dumas

Todd Dumas

Vice President, Chief Counsel, Chief Compliance Officer

Todd N. Dumas is Chief Counsel and the Chief Compliance Officer for Segal Marco Advisors based in the New York office. Mr. Dumas is responsible for providing strategic legal advice to the firm, setting and monitoring internal governance practices and policies, negotiating discretionary client portfolio agreements related to customized portfolios and specialized mandates for the firm’s institutional clients, as well as other operational and management activities.

Prior to joining Segal Marco Advisors, Mr. Dumas spent five years at Brown Brothers Harriman & Co., where he led the investment solutions group focused on the firm’s private equity funds, fund of funds, separately managed accounts, and investment advisor business in Europe and Asia. Before joining Brown Brothers Harriman, Mr. Dumas was a Managing Director at BNY Mellon Asset Management and previously served as Transaction Counsel at JPMorgan Partners, the former private equity division of JP Morgan Chase. Todd began his career at the law firm of Davis, Polk and Wardwell LLP.

Mr. Dumas holds a J.D. from New York University School of Law, a B.S. in International Economics from the University of Pennsylvania and a B.S. in Applied Engineering from Drexel University. Todd also holds the Chartered Alternative Investment Analyst designation.

Contact Todd

The information you provide will not be shared with anyone outside Segal.

Todd Dumas

Leadership

Todd Dumas

Todd Dumas

Vice President, Chief Counsel, Chief Compliance Officer

Todd N. Dumas is Chief Counsel and the Chief Compliance Officer for Segal Marco Advisors based in the New York office. Mr. Dumas is responsible for providing strategic legal advice to the firm, setting and monitoring internal governance practices and policies, negotiating discretionary client portfolio agreements related to customized portfolios and specialized mandates for the firm’s institutional clients, as well as other operational and management activities.

Prior to joining Segal Marco Advisors, Mr. Dumas spent five years at Brown Brothers Harriman & Co., where he led the investment solutions group focused on the firm’s private equity funds, fund of funds, separately managed accounts, and investment advisor business in Europe and Asia. Before joining Brown Brothers Harriman, Mr. Dumas was a Managing Director at BNY Mellon Asset Management and previously served as Transaction Counsel at JPMorgan Partners, the former private equity division of JP Morgan Chase. Todd began his career at the law firm of Davis, Polk and Wardwell LLP.

Mr. Dumas holds a J.D. from New York University School of Law, a B.S. in International Economics from the University of Pennsylvania and a B.S. in Applied Engineering from Drexel University. Todd also holds the Chartered Alternative Investment Analyst designation.

Contact Todd

The information you provide will not be shared with anyone outside Segal.

Leadership

Todd Dumas

Vice President, Chief Counsel, Chief Compliance Officer

Todd Dumas

Contact Todd

The information you provide will not be shared with anyone outside Segal.

Todd N. Dumas is Chief Counsel and the Chief Compliance Officer for Segal Marco Advisors based in the New York office. Mr. Dumas is responsible for providing strategic legal advice to the firm, setting and monitoring internal governance practices and policies, negotiating discretionary client portfolio agreements related to customized portfolios and specialized mandates for the firm’s institutional clients, as well as other operational and management activities.

Prior to joining Segal Marco Advisors, Mr. Dumas spent five years at Brown Brothers Harriman & Co., where he led the investment solutions group focused on the firm’s private equity funds, fund of funds, separately managed accounts, and investment advisor business in Europe and Asia. Before joining Brown Brothers Harriman, Mr. Dumas was a Managing Director at BNY Mellon Asset Management and previously served as Transaction Counsel at JPMorgan Partners, the former private equity division of JP Morgan Chase. Todd began his career at the law firm of Davis, Polk and Wardwell LLP.

Mr. Dumas holds a J.D. from New York University School of Law, a B.S. in International Economics from the University of Pennsylvania and a B.S. in Applied Engineering from Drexel University. Todd also holds the Chartered Alternative Investment Analyst designation.

Leadership

Todd Dumas

Vice President, Chief Counsel, Chief Compliance Officer

Todd Dumas

Contact Todd

The information you provide will not be shared with anyone outside Segal.

Todd N. Dumas is Chief Counsel and the Chief Compliance Officer for Segal Marco Advisors based in the New York office. Mr. Dumas is responsible for providing strategic legal advice to the firm, setting and monitoring internal governance practices and policies, negotiating discretionary client portfolio agreements related to customized portfolios and specialized mandates for the firm’s institutional clients, as well as other operational and management activities.

Prior to joining Segal Marco Advisors, Mr. Dumas spent five years at Brown Brothers Harriman & Co., where he led the investment solutions group focused on the firm’s private equity funds, fund of funds, separately managed accounts, and investment advisor business in Europe and Asia. Before joining Brown Brothers Harriman, Mr. Dumas was a Managing Director at BNY Mellon Asset Management and previously served as Transaction Counsel at JPMorgan Partners, the former private equity division of JP Morgan Chase. Todd began his career at the law firm of Davis, Polk and Wardwell LLP.

Mr. Dumas holds a J.D. from New York University School of Law, a B.S. in International Economics from the University of Pennsylvania and a B.S. in Applied Engineering from Drexel University. Todd also holds the Chartered Alternative Investment Analyst designation.

Leadership

Todd Dumas

Todd Dumas

Vice President, Chief Counsel, Chief Compliance Officer

Contact Todd

The information you provide will not be shared with anyone outside Segal.

Todd N. Dumas is Chief Counsel and the Chief Compliance Officer for Segal Marco Advisors based in the New York office. Mr. Dumas is responsible for providing strategic legal advice to the firm, setting and monitoring internal governance practices and policies, negotiating discretionary client portfolio agreements related to customized portfolios and specialized mandates for the firm’s institutional clients, as well as other operational and management activities.

Prior to joining Segal Marco Advisors, Mr. Dumas spent five years at Brown Brothers Harriman & Co., where he led the investment solutions group focused on the firm’s private equity funds, fund of funds, separately managed accounts, and investment advisor business in Europe and Asia. Before joining Brown Brothers Harriman, Mr. Dumas was a Managing Director at BNY Mellon Asset Management and previously served as Transaction Counsel at JPMorgan Partners, the former private equity division of JP Morgan Chase. Todd began his career at the law firm of Davis, Polk and Wardwell LLP.

Mr. Dumas holds a J.D. from New York University School of Law, a B.S. in International Economics from the University of Pennsylvania and a B.S. in Applied Engineering from Drexel University. Todd also holds the Chartered Alternative Investment Analyst designation.