Description
Mitigating potential risks associated with Hedge Fund regulatory compliance is a daily and evolving challenge. This hedge fund compliance course equips participants in understanding what is needed to create, implement, and maintain a robust and comprehensive compliance program.
This course is presented in two 2.5-hour-long sessions. Registrants should attend both sessions in their entirety.
Course Objectives
By the end of the course, participants will be able to:
- Identify global trends in hedge fund investment, regulation, compliance and technology
- Post-credit crisis investor/Operational due diligence
- Post-credit crisis regulation
- Post-credit trends in crisis compliance
- Compliance/surveillance trends
- Sandboxes
- Discuss compliance including:
- Investment adviser requirements
- Role of CCO
- Managed Funds Association (MFA) best practices
- Disclosure
- Third party vendors
- Valuation
- Code of conduct
- Conflicts of interest
- Risk management
- Business continuity and disaster recovery
- AML
- Investment adviser requirements
- Explain the federal regulatory requirements governing hedge funds compliance
Suggested Prerequisites: None
Program Level: Foundational
Target Audience: Anyone who wants to learn about hedge fund compliance, such as staff from compliance, legal, operations, IT, middle office, or HR, and regulators who work closely with various aspects of the hedge fund market.
Advance Preparation: None
Computers and Financial Calculators: N/A
Recommended CPE Credits: 5.5
Duration: 2.5 Hours Total
Time: 2:00-4:30 p.m. ET
Price: $599/learner