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MD Global Partners, LLC Member: FINRA, SIPC, BCP Summary Disclosure Statement

MD Global Partners is a registered Broker-Dealer Member FINRA/SIPC


Owen May

In 1985, Owen May left a career at Lehman Brothers to establish an investment bank on Wall Street catering to niche clientele too small to gain access to large investment banking services. Mr. May has more than three decades of hands-on experience in private equity and investment banking for institutional investors and high net worth individuals. With assistance from local strategic partners, Mr. May pioneered arbitrage and complex instruments in Far East markets. His specialties include corporate finance, Mergers & Acquisitions, IPO, restructuring and business development. He is actively involved in a broad range of investment activities in Israel, China, Europe, India and Africa. Following his undergraduate degree in biology at University of Miami, Mr. May earned an MBA in finance from Duke University’s Fuqua School of Business, where he currently sits on the Board of Visitors and offers career coaching and opportunities to program participants. He also continues to hold a position on the President’s Council for the University of Miami.

Daniel Mackle

Dan Mackle is the president of M D Global Partners and the CEO of Silver Edge Financial, heading M D Global’s Pre-IPO Division. Prior to launching Silver Edge, Mr. Mackle was the CEO of Pendulum Capital Markets, a branch of Garden State Securities.  For 9 years, he was also the founder and CEO of Morgan Funding Corp, a mortgage bank with over $1 billion in funding, annually.  He has over 27 years of financial management experience, beginning his career as a registered representative in 1992.  Mr. Mackle is a graduate of Manhattanville College, with a Bachelors in Communications, and a graduate of the Mortgage Bankers Association’s School of Mortgage Banking.  He also attended the Investment Banking Institute of New York City. 


Dan Mackle currently holds the following FINRA  licenses: Series 7 (General Securities Representative), Series 63 (Uniform  Securities Agent), Series 4 (Registered Options Principal), Series 24 (General  Securities Principal), Series 55 (Securities Trader), Series 65 (Uniform  Investment Advisor) and Series 79 (Investment Banking Representative).


Dan has lived in Pomona, NY for the past 21 years, where he is active in the  community as a basketball and soccer coach, and is Cubmaster for Pack 79 served as a coach for basketball and soccer and as Cubmaster of Pack 79. He is married with five children.

Gerson Gibbs

Gerson Gibbs is a Director at MD Global Partners. His responsibilities include media and marketing, and compliance functions.  Prior to joining MD Global, Mr. Gibbs worked for the Financial Regulatory Authority (FINRA) as an Examiner for several years overseeing some of the worlds largest investment banks including but not limited to JP Morgan Chase Investment Division, UBS Domestic Investment Division and UBS International (Puerto Rico). 


Following his employment with FINRA, Mr. Gibbs launched Phoenix Compliance Group (PCG)  a company that specialized in assisting entrepreneurs within the financial industry with organizational development and  compliance. In 2017, Mr. Gibbs joined the MD Global family to merge his expertise in organizational development and compliance with MD Global  extensive history in financial services and provide entrepreneurs, investors, and small business in all industries with the necessary resources required to grow their businesses and portfolios. 

Mr. Gibbs received his Bachelors Degree in Economics and Business from University at Albany and his Masters in Business Administration from the Metropolitan College of New York. Currently, Mr. Gibbs is an advisor for MCNY Financial Services Department and a member of Psi Bet Theta Honors Society.

Mark McAndrews

Mark McAndrews joined MDG Partners in 2016 and is the Manager of the NovaFund Advisors Division. He has over 25 years of financial management experience. Previously, he was a founding Partner of Ericsson Venture Partners. In 2001, Mr. McAndrews was the Chief Operating Officer of the Global Investment Banking Division at Merrill Lynch. During his career at Merrill Lynch, he also served as Chief Administrative Officer and Chief Financial Officer of the division. During his tenure the division employed over 3,000 employees and generated $4 billion in revenue. From 1998 to 2001, he was President of Merrill Lynch Capital Partners, where he oversaw the management of two private equity funds totaling $700 million. He also served on the Investment Committee of Merrill Lynch’s Technology Venture Capital Fund which achieved an 8.1x realized return. Mr. McAndrews began his career as an auditor at Arthur Andersen & Co. Mark graduated from Yale University and earned a Masters in Accounting and Finance from NYU.

Wayne Coy

Wayne Coy brings approximately 30 years of market and finance experience to MD Global Partners and is a seasoned small cap stock market veteran. Wayne specializes in deal origination for public and private companies domestically as well as international issuers with a focus on debt restructuring and capital raising. During his tenure Wayne has developed significant expertise in fixed income products such as high yield bonds and preferred stock. In addition to managing portfolios for high net worth clientele, he has also been involved in middle markets and institutional sales. Wayne has held numerous management, top producer, partner and council member status at leading firms such Lehman Brothers, UBS/Paine Webber and ING Barings where he was a Middle Market Director and reported directly to Larry Kudlow (former Economic Advisor to Ronald Reagan and now Senior Economic Advisor to Donald Trump). Wayne has successfully closed capital raising transactions in Brazil and the UK focusing on equity placements and various debt facilities. Wayne studied Economics and Marketing at Quinnipiac University and the University of Miami. He currently holds his series 7, 63 and 24.

Dilnaman Singh Sachdeva

Dilnaman Sachdeva joined MDG Partners after graduating from Duke University - Fuqua School of Business with a Masters degree. Dil is a member of MDG’s business development and deals execution teams. As an Associate, Dil is responsible for a variety of business development and marketing related initiatives, in addition to supporting active transactions through market research, pitch design and valuation analysis. He also holds a Bachelor's degree in Management Studies from the University of Delhi and is fluent in Hindi and Punjabi. Dil currently holds his Series 79 and Series 63 licenses.

Igor Ivanovskiy

Igor Ivanovskiy is a Principal and a Compliance Director at MD Global Partners. He is responsible for overseeing the firms retail business. Prior to joining MD Global Partners, Igor managed Sales and Trading Division at Columbus Advisory Group. After spending time at Columbus AG, he transitioned to assisting MD Global's compliance team. Igor has over 15 years of experience in the financial markets and currently hold FINRA Series 7, 63, and 24 Licenses. 

George Miles

Experienced Investment Banking Specialist with a demonstrated history of working in the banking industry for 20yrs. Skilled in Strategic Planning, Public Speaking, Management, Business Strategy, and Financial Analysis. Strong finance professional, has worked at major firms such as Lehman Brothers and Smith Barney. Has his series 7 and series 63 licenses and studied Business Administration & Economics at Montclair State University.

Peter Tempesta

Peter Michael Tempesta joined MD Global Partners in 2018 and is the Chief Executive

Officer of Sentinel Advisory Group, LLC. He has approximately 20 years of experience

working in the domestic and international securities markets. Prior to joining MD Global,

Peter was Managing Director at Columbus Advisory Group for six years. He has also

served as a financial advisor for institutional firms including National Securities

Corporation and Oppenheimer, in New York City and Arjent Wealth Management, in

London, England. Prior to working in the financial services industry, Peter served four

years of active duty in the United States Army and three years in the New Jersey

National Guard. He studied finance at Baruch College in New York City and currently

holds his FINRA Series 7, 24, 63, and 65 licenses. He is also a licensed Retirement

Income Certified Professional (RICP).

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