This year, the Private Fund Compliance Forum is more critical than ever. With a new administration, SEC Chair, and a regulatory rollback of Dodd-Frank, the compliance community will need an in-depth examination of how practices and programs may change.
Compliance professionals have grappled with creating programs to protect the investor and the firm, and the responsibilities of the CCO continues to increase and evolve. The Forum will focus on regulatory requirements and expectations, while taking a closer look at structuring the compliance function to stay in lockstep with recent and anticipated regulatory demands.
By attending the Forum, you will: