Our Approach

Our Mission

Meet the Team

Daybright Securities, LLC is led by passionate people who are committed to taking care of those who do so much to take care of our communities.

Courtney E. Munoz

CEO

Courtney is the Chief Executive Officer of Daybright Securities, LLC.

Before Daybright, Courtney held leadership roles at Ameriprise Financial and MassMutual Financial Group. At MassMutual, she quickly rose to Regional Vice President, managing 12 agencies and 400 advisors. She led a $25M business transformation project, implementing new technology and training for over 9,000 advisors. Courtney started as a financial advisor, consulting on retirement planning and investments. She is a Certified Financial Planner and holds FINRA Series 7 and 24 licenses.

Courtney earned her bachelor’s degree in industrial economics from Union College and an MBA from the University of Connecticut.

Melanie Hancock Brown

Associate General Counsel & Chief Compliance Officer

Melanie Hancock Brown serves as Associate General Counsel & Chief Compliance Officer at Daybright Securities, LLC. 

She is an ERISA/employee benefits attorney with over 25 years of experience.  Prior to joining the Daybright family, she most recently served as Attorney and Shareholder with Hill Ward Henderson, a corporate and litigation law firm in Tampa, Florida as part of their Employee Benefits and Executive Compensation group. Previously, she was also Counsel with Robinson & Cole, LLP, a commercial law firm with numerous offices throughout the Northeast and Florida, and Holland & Knight, a national law firm.

As Chief Compliance Officer, Melanie Hancock Brown is primarily responsible for overseeing and managing regulatory and securities compliance for Daybright Securities, LLC and Daybright Advisory Services, Inc. She has earned her Series 6, 26, and 63 securities licenses.  

Melanie earned a Bachelor of Arts from the University of Connecticut and her Juris Doctor degree, with honors, from the University of Connecticut School of Law.