Kyle Medlin, CFA, CRCP
19 Years of Investment Experience
With MoA Since 2007

Kyle Medlin, CFA, CRCP Senior Vice President & Chief Compliance Officer

Mr. Medlin oversees all aspects of compliance across Mutual of America Capital Management LLC and its affiliated entities. He serves as Senior Vice President and Chief Compliance Officer of Mutual of America Capital Management LLC, as well as Chief Compliance Officer of Mutual of America Life Insurance Company, Mutual of America Securities LLC, and MoA Funds Corporation.

Mr. Medlin joined Mutual of America in 2007 and has more than 18 years of compliance experience. Prior to joining Mutual of America, Mr. Medlin worked as a Trust Associate at the Bank of New York Mellon from 2006 to 2007. His broad expertise spans the federal securities laws and regulatory frameworks applicable to investment advisers, investment companies, and broker-dealers.

Mr. Medlin is a Chartered Financial Analyst (CFA) Charterholder and holds the Certified Regulatory and Compliance Professional (CRCP) designation from the FINRA Institute at Georgetown University. He also completed the Corporate Compliance Institute Certificate Program at Fordham University and holds the FINRA Series 6 and Series 26 licenses.

Mr. Medlin earned a Bachelor of Science in Business Administration from the University of Rhode Island. He is an active member of the Investment Company Institute’s Chief Compliance Officer Committee and the National Society of Compliance Professionals.