Gain expert insights from Daniel Kahl, Partner at Kirkland & Ellis and former Acting Director of the SEC’s Division of Examinations, and Caitlin Melchior, Ontra’s Senior Director of Industry Strategy, as they explore the SEC’s new rules, how they impact private fund advisers, and how advisers can prepare for compliance.
The Securities and Exchange Commission (SEC) has significantly ramped up oversight of private fund advisers over the past several years. Most recently, the SEC adopted new rules that create additional challenges for advisers, including enhanced reporting and disclosure requirements. With the countdown to compliance looming, fund managers must enhance their policies and procedures to reduce risk. During this webinar, you’ll learn about:
Key features of the new private fund reforms.
How these amendments will impact private funds advisers.
Steps advisers can take to prepare for compliance.