HOVIG MELKONIAN

cHIEF COMPLIANCE OFFICER

Hovig Melkonian is the Chief Compliance Officer of the firm. He has extensive experience in the regulatory compliance space, with a professional background that includes roles at Prudential Financial and Goldman Sachs.

In 2009, Hovig established the compliance division at RIA in a Box, where he served as Director of Compliance for over 15 years. In that role, he developed and managed compliance programs for registered investment advisers nationwide and provided training to firm leadership and advisory personnel. Hovig has also conducted hundreds of onsite examinations and operational assessments of advisory firms, assisting advisers in strengthening their compliance infrastructure and aligning with regulatory expectations.

Hovig holds a Bachelor of Arts from St. John’s University and graduated with a Juris Doctorate from Hofstra Law School with a concentration in securities and real estate.

Outside of work, Hovig is a new father although his two vices are the Buffalo Bills and traveling to see the Buffalo Bills.