Alyssa advises leading private fund investment advisers on a wide range of regulatory and compliance matters. With a client base of over 100 U.S. and non-U.S. private investment fund advisers and investors, Alyssa has deep experience and familiarity with the asset management industry and its regulatory landscape. She advises clients across all major asset classes and fund structures, including private equity, real estate, credit, venture capital, hedge funds, and separate accounts.

Experience

Alyssa guides clients on:

  • Registering as investment advisers with the SEC
  • Developing Advisers Act compliance programs
  • Regulatory and compliance aspects of new fund or product launches
  • Changes in the regulatory landscape applicable to the asset management industry
  • SEC, U.S. Treasury, and Bureau of Economic Analysis filings and reporting requirements
  • SEC examinations

Areas of Practice