Lecturer Bios
                  
                    Scott Murray, Esq.
                    
Scott Murray is Senior Vice President and Director of Regulatory Relations for 
Wells Fargo’s retail broker-dealers. Based in St. Louis, Mr. Murray leads a team 
of professionals that manage the Firms’ regulatory interactions with all of their 
federal, state and SRO examining authorities including the FRB, OCC, SEC, 
CFTC, IRS, FINRA, NFA and State Securities, Insurance, Unclaimed Property 
and Mortgage agencies, among others. 
Prior to this position, Mr. Murray was a 
Senior Regulatory Counsel within Wells Fargo’s Law Department. Mr. Murray’s 
in-house practice concentrated mostly in the area of complex internal 
investigations and representing the retail Firms before numerous federal, state 
and local governmental agencies and industry SROs. 
Prior to Wells Fargo and 
predecessor firm, Wachovia Securities, Mr. Murray was a Senior Associate with the Chicago – based law 
firm, Gardner, Carton & Douglas (now Drinker Biddle) where he counseled numerous financial services clients 
and litigated an array of securities and futures-related matters including customer and intra-industry disputes, 
securities class actions and SEC, CFTC and SRO investigations and enforcement proceedings. 
He started 
his career as an examiner for the NASD (a predecessor firm to FINRA), worked for Fidelity Investments, and 
during law school clerked for the U.S. Department of Justice/Antitrust Division and the Massachusetts 
Attorney General’s Office/Public Charities.
                   
                  
                    Thomas Mellett
                    
Thomas Mellett is Head of Capital Markets Examinations for FINRA’s Member 
Supervision department. He is responsible for examinations of FINRA members 
that are primarily engaged in Capital Markets business activities, including 
Institutional Private Placements, Investment Banking, Mergers & Acquisitions, 
Product Origination & Wholesaling, and Public Finance, among others. 
Prior to this 
role, Mr. Mellett was the District Director of FINRA’s San Francisco District Office, 
where he was responsible for the office’s examination and risk monitoring 
programs. From 2013 to 2015, Mr. Mellett was a Surveillance Director during which 
time he supervised regulatory coordinators who planed examinations and 
conducted risk monitoring of member firms. From 2010 through 2012, Mr. Mellett 
was an Examination Manager responsible for supervising routine examinations of member firms. He 
transitioned into management after working as an examiner. 
Mr. Mellett is designated as a Certified 
Regulatory and Compliance Professional™ (CRCP™) through the FINRA Institute. Mr. Mellett holds a 
bachelor’s degree in finance from Bentley University.
                   
                  
                    Colleen Diles
                    
Colleen Diles is Risk Monitoring Director in the Retail Independent Contractor 
Firm Group. Ms. Diles and her team are responsible for identifying and addressing 
current and emerging risks at member firms. Ms. Diles was involved in the 
evolution of the risk monitoring program over the years and the transformation 
efforts at FINRA, working on various national initiatives that shaped the risk 
monitoring and examination programs. 
Additionally, Ms. Diles is the Office Senior 
Leader and Primary Point of Contact for the Los Angeles office. Her responsibilities 
include building and sustaining employee engagement and camaraderie in Los 
Angeles and ensuring the continued sharing of regulatory intelligence between 
FINRA and local regulatory agencies. 
Ms. Diles has 24 years of securities industry 
experience, including 20 years in securities regulation. Prior to joining FINRA, Ms. Diles was a Mutual Fund 
Administration Supervisor at Chase Global Fund Service Company in Boston, Massachusetts. Ms. Diles 
earned a Bachelor of Science with a concentration in from Merrimack College, and she completed the 
Excellence in Management Program at Wharton School of Business.
                   
                  
                    Jessica Pastorino
                    
Jessica Pastorino has been involved in the securities industry since 2006 with a focus on compliance and operations for privately-placed transactions including capital raising and M&A advisory services. 
As President and Chief Compliance Officer for M&A Securities Group, Ms. Pastorino runs a firm that offers a broker-dealer platform for independent middle-market investment banking professionals and boutique advisory groups. Ms. Pastorino believes in a solution-based approach to compliance challenges. Ms. Pastorino holds her Series 24, 79, 62, 22, 39 and 63 licenses. 
Ms. Pastorino earned her Bachelor of Arts Degree in English at California State University Long Beach and serves as a member of the FINRA District and FINRA CAP committees.