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Corey Schuster
Co-Chief, Asset Management Unit, Division of Enforcement, U.S. Securities and Exchange Commission
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May 21 - 22, 2025
JW Marriott Washington, DC
The Private Fund Compliance Regulatory Forum will explore the state of the compliance landscape, including how the new administration is reshaping it, to make sure you fully understand what’s coming and how to better position your firm.
You’ll hear directly from SEC Commissioner Hester Pierce to keep you up to date on the latest exam priorities and enforcement actions.
With a rich 10+ year history of breaking critical information impacting our industry, private fund compliance professionals make this the must attend event of the year.
Senior Specialized Examiner – Private Funds
Commissioner
Co-Chief, Asset Management Unit, Division of Enforcement
Hear directly from the SEC’s leadership as they provide valuable guidance to private funds as they plan for the future and explore the regulatory developments of 2025 and beyond, including:
“One of my go-to events each year due to the timely program content and excellent panelists.”
Liz Staley, Leerink Capital Partners
“The best part is hearing directly from SEC staff on the very granular matters that impact our day to day.”
Daniel Gewanter, Kohlberg & Co
Great networking opportunities, interesting topics, and fabulous guest speakers.
Enjoyed the SEC perspective and perspective of real CCOs from peers
Excellent event, with all topics being highly relevant
The forum has established a reputation for keeping its attendees on top of emerging trends and challenges. Through engaging panels, interactive think tanks, working groups, and keynote discussions you’ll cover:
Melissa Gainor, Partner – Investment Funds Practice Group, Kirkland & Ellis
Join Commissioner Hester M. Peirce of the U.S. Securities and Exchange Commission (SEC) for an insightful keynote address. Commissioner Peirce will provide valuable guidance to private funds as they plan for the future and anticipate the regulatory developments of 2025 and beyond.
• Developing policies and ensuring they are sufficient to meet the requirements
• Implementation of AML/CFT programs
• What are some of the specific risk metrics for unique circumstances (products, geographies, etc.)
Speaker: Kevin Rooney, Managing Director, Senior Compliance Officer, and Associate General Counsel, Cerebus Capital Management
Doug Cornelius, Chief Compliance Officer, Beacon Capital Partners
Shauna Harrison, Executive Director, Compliance, GCM Grosvenor
• Rethinking antitrust priorities: market power vs. consumer welfare
• Streamlining M&A approvals and a push for faster regulatory clearances
• Will there be adjustments to the HSR filing thresholds
• SAR Reporting
• Valuation methodologies for private equity, private debt, real estate, and illiquid assets
• Ensuring accurate financial reporting, investor transparency, and compliance with SEC guidelines
• Key challenges and regulatory considerations for SEC exams
• Past: challenges and the ambiguity that led to confusion within the industry
• Present: how the rules are being interpreted and enforced today and what are the pain points (for example, presentation of net performance)?
• Future: potential updates or clarifications of the rules and how private funds can minimize risk moving forward
Moderator: Daniel Kahl, Partner – Investment Funds Practice Group, Kirkland & Ellis
Speakers: Jason Scoffield, Chief Compliance Officer, Audax Group
Allison Soren, Chief Compliance Officer, GTIS Partners
Ryan Toteja, Principal & Associate General Counsel, Platinum Equity
• Conducting thorough cybersecurity risk assessments to identify potential threats to compliance and regulatory requirement
• Implementing data security measures and ensuring the protection of client and fund data
• Developing response procedures that are compliant with legal obligations, including reporting requirements and mitigation efforts
Speaker: Samantha Katz, General Counsel and Chief Compliance Officer, Argand Partners
Speakers: Letti de Little, Chief Compliance Officer, Grain Management
Chris Fadeff, Chief Compliance Officer & Vice President, Operations, Galvanize Climate Solutions
A hybrid of the roundtable and think tank formats, groups will share best practices in three areas. Each table will report back to the whole group the key practices in one category.
Facilitator: Brian Anderson, Senior Conference Producer, PEI Group
This dynamic two-part session is designed to provide private fund managers and compliance professionals with essential tools and strategies for preparing for SEC exams. The first part will be a comprehensive webinar taking place the week of March 18. The second part will be an in-person workshop and deep dive into how to prepare a strong day one SEC exam presentation deck, taking place at the Private Fund Compliance Regulatory Forum on May 22.
Part I: webinar (more information to come)
Part II:
First impressions matter: how to prepare a strong day one SEC exam presentation deck
Speakers: Sarah N. Conde, General Counsel, Managing Director & Chief Compliance Officer, Providence Equity Partners
Laura Frattaroli, Deputy CCO, General Atlantic
Designed to facilitate candid discussion, think tanks are closed-door sessions for GPs only. Discussions will be facilitator led and will cover top of mind issues and challenges impacting private fund compliance teams today. Delegates have the opportunity to submit topics for discussion prior to the event.
Facilitators: Mary Anne Capo, Chief Financial Officer & Chief Compliance Officer, Capstreet
Steven Felsenthal, General Counsel & Chief Compliance Officer, Millburn Ridgefield Corporation
Designed to facilitate candid discussion, think tanks are closed-door sessions for GPs only. Discussions will be facilitator led and will cover top of mind issues and challenges impacting private fund compliance teams today. Delegates have the opportunity to submit topics for discussion prior to the event.
Facilitator: Jemima John, VP, Compliance, Shamrock Capital Advisors
Keynote: Daniel Faigus, Senior Specialized Examiner – Private Fund, U.S. Securities and Exchange Commission
Senior Specialized Examiner, Private Funds, U.S. Securities and Exchange Commission
Read bioKeynote: Corey Schuster, Co-Chief, Asset Management Unit, Division of Enforcement at U.S. Securities and Exchange Commission
Co-Chief, Asset Management Unit, Division of Enforcement, U.S. Securities and Exchange Commission
Read bioThese dynamic breakout sessions will break the mold of traditional panel discussions by offering our audience the chance to actively engage and share their own experiences at multiple points throughout the conversation. These sessions foster real-time collaboration and insightful exchanges, allowing participants to contribute directly to the discussion and learn from each other’s real-world perspectives.
Speaker: Sarah Christensen, Deputy Chief Compliance Officer, Bow River Capital
James Gaven, General Counsel & Chief Compliance Officer, SK Capital Partners
Drew Weilbacher, Chief Compliance Officer, Managing Director, TSG Consumer
These dynamic breakout sessions will break the mold of traditional panel discussions by offering our audience the chance to actively engage and share their own experiences at multiple points throughout the conversation. These sessions foster real-time collaboration and insightful exchanges, allowing participants to contribute directly to the discussion and learn from each other’s real-world perspectives.
Speaker: Usman Shakeel, General Counsel and CCO, Wind Point Partners
Have a topic you would like to discuss at this year’s forum? Contact Kellie Green at kellie.g@pei.group to discuss speaking opportunities.
The Private Fund Compliance Regulatory Forum offers a unique opportunity for providers to engage and connect with senior compliance professionals in the private equity sector through thought leadership, networking, and more.
For exclusive sponsorship packages for 2025, contact Josh Stoller at joshua.s@pei.group or call +1 646 970 3923.
Book your room here to secure your special event rate.
Be a part of the largest gathering of compliance leaders in the industry. Over two days you’ll build up your book of contacts while discussing solutions to shared challenges with this expansive community.
Cover critical issues and exchange solutions on curated topics with your peers at our breakfast meetings and GP-only think tanks.
Catch up with your peers to build your network and discuss session takeaways during the many designated networking breaks.
More hands-on than a traditional panel, our workshops start with a 25 minute discussion followed by a 40 minute peer-to-peer workshop.
“Event was a great opportunity to hear from three important constituents: SEC staff, industry advisors, and peers in the trenches who deal with the same challenges I deal with.
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Daniel Gewanter, Kohlberg & Co
“Great networking opportunities, interesting topics, and fabulous guest speakers.
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Alexandra Maisel, Sun Capital Partners
Thank you for your interest in this year’s Private Fund Compliance Regulatory Forum. Your requested resource will be emailed to you shortly.
Explore our event website for more information and be sure to secure your place when ready. We hope to see you at the forum this May in Washington, D.C.
Join the SEC in two keynote sessions as they uncover their 2025 exam priorities and how to be proactive in your exam prep, recent enforcement actions, how to avoid a referral, and much more.
Hear from your peers as they discuss how their firm is staying compliant with new SEC rules and regulations. Create a plan to navigate new private fund rules, the restricted activities rule, quarterly reporting, the marketing rule, and more.
Meet with the largest gathering of compliance experts at this year’s forum. Make this your annual stop as you return to the office with a fresh outlook and enhanced network of likeminded peers as you navigate new regulations together.