Jessica is an associate in the corporate department and a member of the firm’s asset management group. She represents investment management industry clients in a wide variety of regulatory, compliance, governance, fiduciary, and transactional aspects of their businesses. She advises clients on the establishment, registration, reorganization, termination, and ongoing operation of retail and institutional fund products; the creation and implementation of compliance programs; and the preparation and review of shareholder communications and offering documents.

Prior to joining Ropes & Gray, Jessica practiced at another large international law firm, where her clients included U.S. registered investment companies, investment advisers, and private fund sponsors. She spent an interim two years as a visiting assistant professor at the J. Reuben Clark Law School teaching courses and researching on securities-related matters.

Areas of Practice