Whit Conary, President
Mr. Conary has served in the financial services industry for 27 years. Prior to joining LeveL, Mr. Conary worked at Moors and Cabot as a senior vice president in their Institutional Sales department. He was a founder and owner of Ward, Conary and Murphy (WCM), a floor brokerage and specialist firm at the BSE. In 2004, WCM merged with Moors and Cabot after 15 years of growth. Mr. Conary has served as a member of the Boston Stock Exchange’s Board of Governors and Executive committees. He is a member of the BSTA, and holds the FINRA series 7, 24, and 63 licenses.

Denise Cronin Barros, Chief Compliance Officer
Ms. Barros is an accomplished compliance professional and has been in the financial services industry for over 10 years. Prior to joining LeveL, Ms. Barros worked at Fidelity Investments, where she managed their Ethics Office. She also held various compliance positions at New England Financial, where she began her career in 1995. Ms. Barros received a Bachelor of Arts Degree in Political Science from Stonehill College, and holds the FINRA series 7, 9, 10, 24, 27, 63 and 65 licenses.