Donald J. Musso | President & CEO
Donald founded FinPro, Inc. in 1987. He is a frequent speaker at various trade association functions and teaches at various banking schools. He has authored numerous articles and papers on community banking and is frequently quoted in various banking publications. Don is a founder of de novo banks and a significant investor in many community banks and has served in board, managerial and advisory roles with all types of financial institutions. Donald holds Series 24, 79 & 63 licenses. |
Scott M. Polakoff | Principal
Scott joined FinPro to lead its regulatory practice after serving over 22 years with the Federal Deposit Insurance Corporation (8 years as the Chicago Regional Director) and 4 years with the Office of Thrift Supervision as its Chief Operating Officer. From 2009 to 2011 he was a Principal at Booz Allen Hamilton as a leader in the core financial services group. Scott has frequently testified before Congress and is a sought after industry speaker on corporate governance and current regulatory issues in banking. Scott holds series 24, 79 & 63 licenses. |
Scott C. Martorana | Principal
Scott has expertise in capital markets engagements including mergers and acquisitions, capital raising, and valuations. His work in FinPro’s consulting division also provides extensive experience across the firm’s consulting service lines particularly strategic planning, de novo bank formation, enterprise risk management, and asset/liability management. Scott has conducted numerous Board and Management retreats and teaches at the Stonier Graduate School of Banking. Scott holds series 7, 24, 79 & 63 licenses. |
John Mauro, Esq. | Chief Compliance Officer
As Corporate Counsel, John has responsibility for FinPro’s legal matters, both internal and external. He advises regularly on legal matters related to expert testimony, regulatory compliance issues and enforcement actions, as well as the impact of new legislation. In addition to John’s responsibilities as Corporate Counsel, he serves as the firm’s Chief Compliance Officer and is actively involved with FinPro’s capital markets engagements. John holds a license to practice law in the States of New Jersey and New York. John also holds series 24, 79 & 63 licenses. |
Matthew K. Miller | FCA Investment Banking Representative
Matthew currently manages many of the partnership, strategic planning, and asset liability engagements and is responsible for the refinement of FinPro's strategic planning model and integration of FinPro's branch profitability and asset liability models. He also has extensive experience on mergers and acquisitions, stock valuation, appraisals, and market feasibility engagements. Matthew also teaches at the Graduate School of Banking Colorado as well as the Executive Development Institute. Matt holds series 79 & 63 licenses. |
PLEASE CONTACT US TO DISCUSS HOW WE CAN ASSIST YOU
46 East Main Street, Suite 303 | Somerville, NJ 08876 | 908-234-9398
46 East Main Street, Suite 303 | Somerville, NJ 08876 | 908-234-9398