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Brian B. Morrow

Brian Morrow is U.S. Trust’s Market Trust Executive for the Georgia/North Florida market. U.S. Trust is the Private Wealth Management unit of Bank of America. Brian offices in Atlanta, Georgia.

Prior to his current role Brian served as Fiduciary Risk/Governance Executive and was part of Bank of America’s Private Bank senior leadership team for three years. In this role he was responsible for coordinating oversight and monitoring of all fiduciary activities and was the business line coordinator for assessing and addressing all aspects of fiduciary risk.

Mr. Morrow began his Bank of America career as the manager of the Corporate Compliance unit overseeing the Private Bank for twelve years. Mr. Morrow is now in his thirtieth year in the fiduciary business.

Prior to joining Bank of America Brian worked at Chemical Bank and Chase Manhattan Bank in New York and at First Fidelity Bancorporation in New Jersey.

Brian holds a B.Sc. from Fordham University and a MBA from New York University. Brian is beginning this third year on the faculty of the ABA National Trust School. In addition, Brian served on the board of National Association of Trust Audit and Compliance Professionals (the predecessor of FIRMA) for nine years and was President of the organization four of those years.

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