Melissa is a senior compliance professional with over 15 years of experience in regulatory compliance, risk management, and financial services operations; she joined CRC Oyster in 2026.
Her expertise spans NFA, CFTC, SEC, and FINRA compliance, AML and KYC programs, regulatory reporting, and policy development, with particular depth in highly regulated, complex environments. Before CRC Oyster, she served as Chief Compliance Officer and Vice President of Compliance at DUNN Capital Management, bringing both the strategic vision and operational precision that define effective compliance leadership.
Melissa attended Florida State University College of Law, pursuing a Juris Master’s degree in Financial Regulation and Compliance, and maintains a Series 3 securities license.

