Bryan Mulcahey

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+1 202 370 0609 direct
Washington, DC

Previous Experience

  • Member of the Honors Program, Securities and Exchange Commission
  • Law Clerk, Financial Services Roundtable
  • Law Clerk, Price Benowitz LLP
  • Intern, Brook Venture Partners 

Thought Leadership

  • Author, "A Lose Lose Scenario When the Federal Government Starts a Theory With ‘Too Big’: How the DOJ Enforcement Policy Forces Remittances Underground," George Mason Journal of International Commercial Law, 2014

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Bryan Mulcahey


Bryan advises clients on regulatory, compliance, and corporate-governance issues, with a focus on anti-money-laundering and securities regulation.


Prior to joining Promontory, he served in the honors program in the Securities and Exchange Commission’s Office of Compliance Inspections and Examinations, where he conducted risk-based examinations of various SEC registrants. Previously, Bryan worked at the Financial Services Roundtable, where he helped advise deposit institutions on regulatory and compliance issues, including AML examinations. During law school, he worked at a law firm in the District of Columbia and, prior to law school, at a venture-capital firm in Boston. Bryan has written and published on various topics including the Justice Department's enforcement of Bank Secrecy Act and AML violations.


  • J.D., George Mason University School of Law
  • B.S., business economics, summa cum laude, Cortland State University

Affiliations, Awards, and Civic Engagements

  • Member, District of Columbia Bar

Representative Engagements

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