Julia is the Chief Compliance Officer responsible for the management and implementation of Standish's overall compliance program. Julia is primarily responsible for ensuring that Standish meets its regulatory and fiduciary obligation. Julia initially joined the firm in 2007 as a Senior Compliance Officer responsible for maintaining and testing of compliance policies and procedures. Prior to joining Standish, Julia was a Compliance Officer at Fortis Investments responsible for investment adviser oversight. Prior to that Julia worked at Fidelity Investments and State Street Research and Management in various compliance roles. She is a member of New England Broker Dealer and Investment Adviser Association (NEBDIAA), Investment Adviser Association (IAA) and National Society of Compliance Professionals (NSCP). Julia has an M.B.A. from Bentley College, a B.S. from Babson College. Julia holds the Investment Adviser Certified Compliance Professional (IACCP) certification and has 20 years of industry experience.