Scott is the Chief Risk Officer, Chief Compliance Officer, and Head of Portfolio Solutions at Infinity Q, responsible for monitoring portfolio risk exposures, enhancing the firm’s risk analytics, providing portfolio solutions for clients, and ensuring compliance with the firm’s policies, procedures, and regulatory guidelines. Previously, he was the Head of Risk Management at Arden Asset Management where he built out the infrastructure for the reporting and risk management of Arden’s private funds and liquid alternatives initiatives, including the crafting and monitoring of investment guidelines. Prior to Arden, Scott spent 5 years at JP Morgan Measurisk, a provider of risk-transparency and risk-measurement solutions for institutional investors and asset managers, where he was a Vice President with oversight for the firm’s largest institutional clients. Scott began his career as a trader for Shonfeld Securities. He received his B.S. in Finance from the University of Buffalo in 2001 and an M.B.A. in Finance from Baruch College, Zicklin School of Business in 2005. He is a Chartered Alternative Investment Analyst (CAIA) and is a Certified Financial Risk Manager (FRM).