Public Securities, Chief Compliance Officer, Regulatory Counsel
Seth Gelman is the Chief Compliance Officer and Regulatory Counsel of Brookfield’s Public Securities Group. He oversees the compliance department and is responsible for the implementation of compliance policies and procedures. Mr. Gelman also serves as the Chief Compliance Officer for the Public Securities Group’s registered investment companies. Mr. Gelman has over 15 years of experience and, prior to joining Brookfield in 2009, he was a Vice President and Compliance Officer at OppenheimerFunds. Mr. Gelman earned a Juris Doctor degree from the University of Miami School of Law and a Bachelor of Arts degree from the University of Florida.