Joe Hanlon serves as the Senior Managing Director, Chief Risk and Compliance Officer for SLC Management overseeing the firm’s risk and compliance functions, including strategy and day-to day operations. This includes executing corporate guidelines, policies and procedures, training, reporting and internal controls that manage and mitigate risk both for enterprise operations, as well as regulatory compliance in asset management.
Prior to joining the firm, Joe was the CCO for the Fidelity Investments Equity and High-Income Mutual Funds and Exchanged Traded Funds. He was at Fidelity Investments for 13 years in various Compliance capacities. Joe practiced law as a counselor and litigator for Robins, Kaplan, Miller & Ciresi from 1992 to 2001 where he focused on advising and representing insurers on regulatory matters and complex litigation.
Joe received a JD from Boston College Law School and BS in Finance from Boston College.
SLC-20250505-4465852