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  • Management Team

David DuBrava

Director

A QUOTE THAT INSPIRES ME…

“If we all worked on the assumption that what is accepted as true is really true, there would be little hope of advance.” - Orville Wright

A RANDOM FACT ABOUT ME…

I once tried out for American Idol and Survivor.

(978) 569-2940

Experience

Mr. DuBrava has over 15 years of experience in the institutional retirement plan marketplace. His primary area of expertise is retirement plan design, including advising executives and professionals on the requirements of qualified retirement plans, addressing issues concerning plan investments and developing strategies to mitigate fiduciary liability.

At MFA Asset Management, David leads the firm’s Institutional Consulting Practice. He couples his knowledge of retirement plan design and administration with his expertise in investments and retirement planning. He is actively involved in guiding plan sponsors through the formation, implementation and ongoing management of their retirement plans. His customer base relies on him to assist them in meeting their fiduciary responsibilities, adhering to complex ERISA regulations and meeting their overall goal of providing best-in-class retirement plans for their organizations. He is a passionate advocate for plan participant education and regularly conducts educational workshops for his customers’ employees.

Prior to joining MFA Asset Management, David spent four years at TIAA Financial Services where he consulted with plan sponsors and intermediaries on a wide variety of matters including retirement plan design and compliance, investment reviews, fee benchmarking studies and fiduciary and plan participant education. He also held similar positions with New York Life Investment Management and Fidelity Investments.

Education

  • MBA – Concentration in Accounting and Finance; St. Bonaventure University
  • BA – Health and Human Services; State University of New York at Buffalo

Expertise

  • Retirement plan design and compliance
  • Plan provider analysis
  • Fee benchmarking
  • IRS compliance programs: SCP, VCP, Audit CAP
  • Fiduciary guidance/plan governance
  • Investment strategy
  • Investment evaluation and monitoring
  • Plan participant education

Certifications

  • FINRA Series 6 – Investment Company and Variable Contracts Products Representative
  • FINRA Series 63 – Uniform Securities Agent
  • MA Life, Accident & Health Insurance License

OUR TEAM

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