ACGSF SEC Fireside Chat PE Firm Update 2021

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December 7, 2021 1 PM - 2 PM PST

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SEC Fireside Chat and PE Firm Update
Tuesday, December 7th  1:00pm - 2:00pm

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Please join ACG San Francisco and RSM US LLP for an SEC Fireside Chat with:

KRISTIN SNYDER
Associate Regional Director, U.S. Securities and Exchange Commission
 
DREW WEILBACHER
Chief Compliance Officer, TSG Consumer Partners
 
HARDY CALLCOTT
Partner, Sidley Austin LLP 
  
JON WATERMAN
Partner, National Asset Management Practice Leader, RSM US LLP
 
  • Our speakers will cover the following topics:
  • Digital engagement practices
  • Digital asset and Crypto currency
  • Examination of SEC priorities and recent risk alerts
  • Examination and enforcement lessons learned and best practice
    • Cybersecurity
    • Fees and expenses
    • Affiliated service providers
    • Valuation of illiquid investments
    • Material nonpublic information
WHO MAY BE INTERESTED IN ATTENDING
Chief Compliance Officers, Chief Financial Officers, and in-house legal counsel at private equity firms 
 






 

Speakers

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KSnyder

Kristin Snyder

U.S. Securities and Exchange Commission
Associate Regional Director

Kristin Snyder is Deputy Director of the SEC’s Office of Compliance Inspections and Examinations (OCIE) as well as OCIE’s National Associate Director of the Investment Adviser/Investment Company Examination Program.  Ms. Snyder also serves as the Associate Regional Director for Examinations in the SEC’s San Francisco Regional Office, where she leads the examinations program.  Ms. Snyder has worked at the SEC for more than fifteen years, and previously served as a Branch Chief and a Senior Counsel in the San Francisco office’s enforcement program.  Prior to joining the SEC staff, Ms. Snyder practiced with Sidley Austin Brown & Wood LLP in San Francisco.   She earned her law degree from the University of California Hastings College of the Law, and received her bachelor’s degree from the University of California at Davis.

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HCallcott

Hardy Callcott

Sidley Austin LLP
Partner, Securities Enforcement and Regulatory

Hardy Callcott’s practice concentrates on enforcement defense and regulatory counseling concerning securities market and regulatory issues for broker-dealers, investment advisers, mutual funds and others in the financial services industry. He provides securities enforcement defense before the SEC, Department of Justice, FINRA and other SRO and state regulators for members of financial services industry, public companies and officers and directors. He also conducts internal investigations.

Hardy is a member of Sidley’s global Securities Enforcement and Regulatory practice, which received the 2019 Chambers USA Award for “Financial Services Regulation Firm of the Year” and 2020 Chambers USA Band 1 for Financial Services Regulation: Broker Dealer (Compliance & Enforcement). Sidley was also named the “Law Firm of the Year” for Securities Regulation in 2020 and 2017 by U.S. News – Best Lawyers. Hardy was ranked nationally in Chambers USA for Securities Financial Services Regulation 2008–2021, including the highest category, Band 1, in both Broker Dealer (Compliance) in 2020 and Broker Dealer (Enforcement) in 2020 and 2021. He was also included in The Best Lawyers in America 2007–2012 and 2014–2016 lists, chosen based on peer-reviewed surveys of U.S. lawyers. He was with Charles Schwab & Co. Inc., as senior vice president and general counsel. He served in the General Counsel’s Office of the SEC as assistant general counsel for Market Regulation (now Trading and Markets), and taught in the Securities LLM program at Georgetown University Law Center. After law school, Hardy clerked for the Hon. Mariana Pfaelzer in the U.S. District Court for the Central District of California.

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JWaterman

Jon Waterman

RSM US LLP
Partner, National Asset Management Practice Leader

Jon Waterman is RSM’s national asset management practice leader and works exclusively with clients in the financial services industry, with particular expertise in meeting the needs of BDCs, investment partnerships, private equity funds, SBICs, registered investment advisors and regulated investment companies. Jon serves as both an audit lead partner and engagement quality review partner, as well as a SEC specialist on public registrants for clients of RSM.  Over the course of his career, he has been involved with both initial public and secondary offerings, worked extensively with various securities counsel and underwriters and been a frequent speaker and author on a host of topics in the financial services arena.

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DWeilbacher

Drew Weilbacher

TSG Consumer
Chief Compliance Officer
Hosted by: ACG
Chapter
San Francisco

RSVP by:
RSVP Deadline
December 6, 2021 11pm
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Event Materials

Event Materials

Sponsored by RSM US LLP:

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RSM

Maximizing value for private equity firms and their portfolio companies
 

It’s a new era for private equity and driving value is a priority now more than ever. RSM knows how to create value throughout the entire investment life cycle and has a specialized understanding of middle market companies, which continue to be a primary target for private equity investors and their limited partners. 

RSM’s extensive transaction experience, industry knowledge and technical skill translate to a real competitive advantage for our mid-market clients, and our streamlined approach works to your convenience. With the introduction of M&A360™, our wealth of specialized services and resources for audit, tax and consulting are accessible as one holistic solution, managed by a single point of contact. This integrated, dynamic framework provides a blueprint for creating transformative value at every point along the transaction life cycle to deliver high gains for private equity funds and their portfolio companies. RSM uses a proven approach that is value focused and execution driven to help private equity firms maximize operational performance and return on invested capital. We programmatically apply critical assets, methodologies and industry expertise to drive value creation and preservation throughout the transaction life cycle.

In a world of rapid change, you need a strategic partner who's always looking ahead to make sure your fund is optimally structured from a tax perspective and in compliance with any new accounting regulations. RSM’s fund audit and tax services are designed to help you mitigate risk by delivering quality, clarity and efficiency of reporting, while staying on time and on budget.

With our integrated service model, RSM is able to deliver resources wherever and whenever our clients need assistance, as well as a single point of contact for all service teams working with international private equity firms domestically and globally.

VISIT RSM US LLP HERE