Ensuring compliance in your marketing and solicitation procedures

These are my notes from the Private Fund Compliance Forum 2013. Paula Bosco, Managing Director, Chief Regulatory Counsel & CCO, New Mountain Capital, LLC Abrielle Rosenthal, Senior Principal & Senior Compliance Counsel, TowerBrook Capital Partners L.P. The JOBS Act is going to change things. We just don’t know when or how. However, most people think … Read more »

What’s on the regulatory horizon and how will it affect your compliance program

These are my notes from the Private Fund Compliance Forum 2013. They are live notes, so please forgive my typos. Christian B. McGrath, Managing Director & General Counsel, GTCR Jason Mulvihill, General Counsel, Private Equity Growth Capital Council Joel Wattenbarger, Partner, Ropes & Gray LLP Broker-dealer regulation in connection with the sale of private fund … Read more »

Conducting your annual review to ensure compliance

These are my notes from the Private Fund Compliance Forum 2013. They are live notes, so please forgive the typos. Brian Kawakami, Partner, Ascendant Compliance Management Charles Lerner, Principal, Fiduciary Compliance Associates LLC, and Editor, The US Private Equity Fund Compliance Guide and The US Private Equity Fund Compliance Companion Jim O’Connor, Chief Compliance Officer, … Read more »