Seth Gelman
Chief Compliance Officer at Insight Investment

Profile

Seth joined Insight in October 2017 and has oversight of the development and maintenance of the compliance program with respect to SEC and other US rules and regulations for Insight in North America. Prior to joining Insight, he spent over eight years as the Chief Compliance Officer at Brookfield Investment Management Inc. where he had oversight of the firm’s compliance department and was responsible for the implementation of Brookfield’s compliance policies and procedures. Seth has over 20 years of compliance experience. Prior to joining Brookfield Investment Management Inc., he was a Vice President and Compliance Officer at OppenheimerFunds Inc. Additionally, Seth previously served as an Associate and Attorney with Goldman Sachs Asset Management. In addition, he is a frequent speaker at industry seminars and conferences. Seth holds a BA from the University of Florida and a JD from the University of Miami School of Law.