Lelia has served as the Fund’s Chief Compliance Officer since March 2016 and joined YCG, LLC in Marchl 2020 as a full time employee of the adviser firm. Prior to Lelia joining YCG, Lelia worked as a Compliance Consultant for Vigilant Compliance, LLC for 10 years. Prior to Vigilant, Lelia worked for Bank of Ireland Asset Management Limited, a $60 Billion global investment adviser in their Dublin, London, Santa Monica, CA and Greenwich CT offices where she most recently served as Director and Head of Client Services for the North American division of the firm. Her duties included oversight over Client Servicing, Compliance and Marketing. She was involved in the development of adviser functionalities relating to the use of Portfolio Valuation and Performance Measurement systems and Compliance systems. She has led investment adviser Response Teams relating to Client responses for SEC Examinations and has over four decades of Investment Adviser and mutual fund work experience.