Mark Monaghan

Portfolio Manager

Mark is a Portfolio Manager at Baker Gilmore & Associates Inc., where he is responsible for credit research and security selection.

Mark has 17 years of investment industry experience and has been with the firm since 2007. Previously, he was Associate, Corporate Banking at Scotia Capital and Manager, Finance Practice at Accenture.

Mark earned a Bachelor in Computer Science degree and an MBA from McGill University and is a CFA charterholder.