Leading regulatory compliance across the capital markets
Get in touch
Developing, implementing and maintaining best in class compliance programs.
We are a specialized regulatory compliance firm advising investment advisers, private funds, and broker-dealers across the capital markets. Drawing on experience as former regulators and senior in-house staff, we understand the regulatory requirements and policy considerations relevant to private equity and venture capital sponsors, RIAs, hedge funds, and broker-dealers. We support these needs through active, ongoing involvement on an outsourced basis. We serve:




Executing on urgent and ongoing regulatory and compliance matters.
We offer a comprehensive set of regulatory compliance and monitoring services designed to assist clients in preventing, detecting, responding to, and remediating examination findings, regulatory scrutiny, misconduct, and other prohibited acts. Some of the key areas we cover include:
Delivering results across complex regulatory and compliance matters.
Our clients rely on our deep industry knowledge, regulatory expertise, and responsiveness across complex compliance and regulatory matters.
.jpg)

