LOCATION: NEW YORK MARRIOTT MARQUIS, NY
DATE: MAY 18TH, 2017
SYMPOSIUM TUITION RATES
Standard Registration: $898
Subsidized Registration: $698
PracticEdge Members: $398
RCA myUniversity: Complimentary (Contact Your Curriculum Advisor)
8 hours of CLE, CPE and CCE™ (The RCA is the exclusive programmatic accreditation agency for Continuing Compliance Education™)
Several governmental agencies have intensified their focus on hedge funds, private equity firms and other asset managers. Specifically, the SEC, CFTC, NFA, DOJ, IRS and DOL continue to expand their regulation, compliance requirements and reporting obligations while intensifying examination and enforcement activities.
In order to compete – firms must upgrade compliance processes, operational practices and reporting structures.
Additionally, recent enforcement activity continues to mandate the “formal training” of personnel. Therefore, in order for senior management of an Alternative Investment or Asset Management firm to properly insulate themselves from liability – accredited professional development has become paramount.
Moreover, Institutional Investors require new levels of service and customized investment products from Fund Managers. To capture these emerging opportunities, Fund Managers must create new compliance, operational and risk management infrastructure, provide advanced training to personnel and integrate new processes with administrators.
Enforcement, Compliance & Operations (ECO) – New York 2017™ will feature the LARGEST COLLECTION OF SENIOR REGULATORS detailing the latest tactics, developments and priorities.
Moreover – the RCA’s 13 phase Academic and Accreditation Process will insure that the Speaking Faculty delivers the most timely, practical and actionable guidance to:
- Upgrade compliance controls, testing and reviews to avoid deficiencies;
- Address the 2017 Examination priorities and tactics;
- Develop a deep understanding of the latest Enforcement initiatives;
- Vendor oversight and risk management programs – emerging issues;
- Personal liability for compliance officers, in-house counsel and portfolio managers; and
- Advanced Information Security briefing for alternative investment and asset management executives.
For more information please call 800-306-6133 or you may register by clicking here: