Paul J. McIntyre
Chief Compliance Officer
Paul J McIntyre is the Chief Compliance Officer at MSC BD, LLC, which is a member of FINRA and SIPC and a wholly owned subsidiary of Madison Street Capital. MSC BD, LLC provides placement services for mostly publicly traded companies and closely held private companies. His responsibilities for MSC BD, LLC include regulatory compliance for investment offerings the firm may engage in on the behalf of Sponsors of equity and debt capital raise type initiatives and placements. He has served in this role since 2010.
As a Dealer Manager, Mr. McIntyre has completed many real estate equity and dept placement security offerings for both commercial and residential real estate projects. He holds several FINRA licenses including Series 7 63 65 79 24 and 99. Mr. McIntyre began his financial services career at Merrill Lynch and moved to senior principal positions at EF Hutton, Prudential Investments and other private financial services firms. He began working in client relations, but later in operations, product development and financial product distribution at these and other wall street wire houses and US based money management firms.
Since 2002 he has volunteered his time to serve as an Arbitrator for FINRA, on industry and client dispute resolutions. Mr. McIntyre also is the founder of NAMCOA® – Naples Asset Management Company®, LLC, a RIA (Registered Investment Advisor) with investment advisors in six states. At NAMCOA he serves as the firm’s Chief Compliance Officer and Managing Director. NAMCOA provides investment advisory services to high net worth individuals and institutions. Mr. McIntyre also holds a similar position at DST Investments, LLC where he is the founder. DST Investments is also a Registered Investment Advisory firm that provides consulting services to 1031 investors on DST replacement properties. Mr. McIntyre earned his Business Degree from Eastern Michigan University and also completed other post graduate study programs in insurance at Michigan State University and in finance at the George Washington University. He holds real estate licenses in Florida and Georgia.
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