Ryan MacDonald
Chief Compliance Officer
Ryan is the Chief Compliance Officer at Aperture. Prior to joining Aperture, Ryan held various roles at ACA Group, including Co-Practice Leader of its Hedge Fund Practice, where he focused on helping advisers to private funds design and implement compliance programs. Previously, he was an Examiner with the U.S. Securities and Exchange Commission and has also held various compliance, operations and finance roles at both alternative and traditional asset managers. Ryan earned his BSBA and MBA from John Carroll University. Ryan is a CAIA Charterholder.