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Marco Investment Management LLC

Mark C. Burton, J.D./MBA, IACCP

Chief Compliance Officer

Mark C. Burton is Chief Compliance Officer at MIM. Mark is responsible for managing and updating the compliance program and supporting an environment of integrity to put our clients’ needs first. Mark has served as Chief Compliance Officer at registered investment advisors in Atlanta since 2014 and was previously a trial lawyer in the Atlanta area. Mark began his career in 1995 in investment management and estate planning with Wachovia. He holds the Investment Adviser Certified Compliance Professional® (IACCP®) designation.

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Mark is a graduate of Wake Forest University, earning the degrees of Bachelor, Master of Business Administration, and Juris Doctor.

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The Investment Adviser Certified Compliance Professional® (IACCP®) Program is administered by the Investment Adviser Association and Comply Technologies for compliance professionals to certify their knowledge of investment adviser regulatory obligations and requirements, including foundational knowledge of the Investment Advisers Act of 1940, trading rules, other regulatory mandates, and current compliance priorities.

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