The Compliance Unit is responsible for the regulatory oversight of the investment portfolios of the Massachusetts Public Retirement Systems. The Unit is responsible for reviewing investment exemption applications and supplementary regulation requests.

The Unit also oversees board member education. 

Thomas J. O'Donnell
Compliance Officer
617-666-4446 ext. 922

Derek Moitoso
Compliance Counsel
617-666-4446 ext. 909

Victoria Marcorelle
Senior Investment Analyst
617-666-4446 ext. 928

Rose Morrison
Administrative Assistant
617-666-4446 ext. 931

Veronica Colon
Investment Analyst
617-666-4446 ext. 926

Cheryl Johnson, CFA
Compliance Analyst
617-666-4446 ext. 927