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Deep Dive: Prepare to do battle with data privacy

EU rules were just the start; new regulations around data governance are coming to a state near you.

HarbourVest deepens compliance and legal bench

Following Danielle Green’s departure from the global investment management firm, William Royer has been named chief compliance officer.

Q&A: Should US firms be worried about SMCR?

Compliance consultant Paul Henshaw explains the significance of incoming UK regulation to US firms that may be affected.

Settlements for Corinthian show lessons must be learned

If you have complicated provisions in your LPA, you'll need to double check your math, according to sister title Regulatory Compliance Watch.

Monday: Robo Regulators, Cloud carelessness, SEC settlements

It’s launch day here at Private Funds CFO, and as it’s Monday we are all about compliance. Here’s your daily round-up

The Private Fund Compliance Forum in 5 data points

We digest the premier meeting of private fund compliance professionals through some key statistics.

Private Fund Compliance Forum: What to outsource?

A delegate poll favors program review as the most readily outsourced.

For the record: How CVC does compliance

Raju Hussain, CVC's compliance chief, explains how he keeps the $70bn firm on the right side of its many regulators and how he guided it through three exams.

The pfm powerlist

pfm shines a light on the unsung back-office heroes who keep investors, regulators and partners happy by working hard behind the scenes.

Three questions with the former SEC NY exam head

Managers of retail and retirement capital and those investing in cryptocurrencies are ‘on notice for increased scrutiny’, says Ken Joseph, the former SEC exam boss who recently joined advisory firm Duff & Phelps.
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