Medina Jett

Chief Compliance Officer

Medina Jett is Matarin’s Chief Compliance Officer. She is responsible for ensuring the firm’s ongoing compliance with the policies and procedures contained in its compliance manual and supervising all other aspects of its compliance program.
Medina came to Matarin with over 20 years of legal and compliance experience. In addition to her responsibilities at Matarin, Medina is the founder and president of Integrated Compliance Solutions Group, LLC, a regulatory services firm that provides compliance support to the financial services industry. Formerly, Medina was the Chief Compliance Officer at Cigna Retirement and Investment Services and Prudential Retirement where she was responsible for developing and implementing the Compliance Program for the registered investment advisor and broker-dealer and overseeing the regulatory activities of the sub-advisors. Medina is also an attorney and spent five years in private practice.
She received a BA from Wesleyan University, a JD from Georgetown University Law Center and recently earned an MBA from the University Of Connecticut School Of Business.

Meet The Matarin Team

Stuart Kaye, CFA

Co-Founder | Portfolio Manager Full Bio

Nili Gilbert, CFA, CAIA

Co-Founder | Portfolio Manager Full Bio

Ralph Coutant, CFA, CMT

Principal | Portfolio Manager Full Bio

Valerie Malter, CFA

Co-Founder | Managing Principal Full Bio

Marta Cotton, CAIA

Principal | Director of Client Development Full Bio

Prior to Matarin:

ICSGroup, LLC | 2008 – Present
Founder and President

The Hartford | 2005 – 2008
Chief Compliance Officer

Prudential Retirement | 2003 – 2005
Chief Compliance Officer

Cigna Investments | 2002 – 2003
Chief Compliance Officer