Timothy M. Simons, CFA, CIPM, CSCP

Member
Tim has nearly 30 years of SEC compliance experience working with investment advisers of all sizes, across all asset classes.  Prior to joining FOCUS 1, Tim was a Chief Compliance Examiner in the SEC’s Philadelphia Office where he also supervised a Branch of Investment Adviser/Investment Company Examiners and participated in over 200 examinations between 1988 and 2000. In addition to being a regular speaker at several regional industry conferences, he was an instructor at SEC national training for new examiners for many years. <h3></h3>  

Tobin S. Cochran, IACCP®

Managing Member / President

Tobin S. Cochran, IACCP®

Managing Member / President
Tobin has over 22 years of experience working with investment advisers of all sizes, across all asset classes, within the United States, Asia and Europe. He currently manages several on-going client relationships pertaining to quarterly and annual compliance reviews and mock SEC examinations. <h3></h3> <h3>Schedule a Call with Toby Cochran</h3> <!-- Calendly inline widget begin -->

Linda F. Beckmann, CSCP

Senior Member
Linda has over 40 years of experience working in the financial industry, most recently serving as a Senior Member with FOCUS 1, where she works with many clients consulting on regulatory, compliance and internal control issues. Linda is also a valued resource when conducting mock SEC examinations on investment advisers. <h3></h3> <h3>Schedule a Call with Linda Beckmann</h3>

Spencer L. Lennon

Compliance & Client Engagement Associate

Spencer L. Lennon

Compliance & Client Engagement Associate
Spencer attended Oregon State University in Corvallis, Oregon where he received a Bachelor of Science in Philosophy while minoring in American History and Political Science. While at Oregon State, Spencer was involved in student government leadership with a focus on student fee allocation. <h3></h3> <h3>Schedule a Call with Spencer Lennon</h3>

Mark D. Comish

COO, Head of Regulatory Filings & Tech

Mark D. Comish

COO, Head of Regulatory Filings & Tech
Mark has over 30 years of business experience in the computer and technology industry, including Information Technology, Corporate Management, Marketing and Web Services. As Head of Regulatory Filings & Technology, Mark oversees all things technology within the firm, which includes client facing services like Focus 1’s Regulatory Filing Bureau and its online cloud-based Compliance Program solution. As COO, Mark’s duties also include working with the firm’s Operations & Finance Manager to help support each of our compliance consultants. <h3></h3> <h3>Schedule a Call with Mark Comish</h3>