Before joining MyRIA Lawyer, Dara served as the Chief Compliance Officer for several Registered Investment Advisor (RIA) firms including a global investment manager and a mutual fund company, and for the State of Wisconsin Investment Board. She also worked as a Certified Financial Planner™ at an RIA financial planning and wealth management firm. She is a licensed attorney and previously held the Series 7, 63 and 65 licenses.

Outside of work, Dara enjoys spending time with her two teenagers, traveling to see live music, and practicing yoga.