ICG Team
William A. McGugin,
President & CEO
Bill McGugin is Chairman, President and CEO of Iroquois Capital Group, Inc. He also serves in the same capacity for REIT Investment Group, LLC, and IMS Holdings, LLC, which are both portfolio companies of Iroquois Capital Group. Prior to co-founding ICG, Bill worked with Covenant Capital Group, a real estate private equity firm with over $1 billion invested in apartment projects. Bill received both his B.A. and M.Ed from Vanderbilt University. He holds his Series 7, Series 24, Series 27, Series 63 and Series 79 licenses.
Matthew B. Jacques,
Managing Director
Matthew Jacques is a Managing Director and is the Chief Operating Officer of REIT Investment Group, LLC, a portfolio company of Iroquois Capital Group. Matthew graduated from Yale University and holds the Series 7 and Series 63 securities license designations.
Margaret M. Barnhart,
Senior Vice President & Chief Compliance Officer
Maggie Barnhart is Senior Vice President and Chief Compliance Officer. Maggie is responsible for all regulatory matters, with a particular focus on ICA, LLC, our FINRA member broker-dealer. She has over 35 years of experience in the investment industry. Before joining Iroquois, Maggie served as Chief Compliance Officer and CFO of Cambridge Equity Advisors, a registered investment advisor, and of Cambridge Way, a registered broker-dealer. Maggie is a graduate of Ohio State University. She holds her Series 7, Series 24, Series 28, Series 53, Series 63, Series 65.
Ashley L. Holloway,
CPA, CGMA, Senior Vice President of Operations & Controller
Ashley Holloway is the Controller of Iroquois Capital Group as well as CFO of our FINRA member broker-dealer ICA, LLC. Ashley is responsible for accounting, administration, human resources, and information technology. Ashley began her career as an auditor with Frasier, Dean, & Howard. She is a graduate of Samford University. Ashley is a member of the Tennessee Society of CPAs, and the AICPA. She is a licensed CPA in the State of Tennessee; she holds her CGMA designation and Series 28 license.
Andrew Witte,
Associate for Compliance & Investor Relations
Andrew Witte is a registered Associate for Compliance & Investor Relations. Andrew received his B.B.A. from Belmont University and his J.D. from the University of Illinois College of Law. He holds the Series 7 license.
Andrew WitteAssociate for Compliance & Investor Relations
Andrew Witte is a registered Associate for Compliance & Investor Relations. Andrew received his B.B.A. from Belmont University and his J.D. from the University of Illinois College of Law. He holds the Series 7 license.