From Hedgeco.net
IBC’s Hedge Fund Adviser Compliance Forum is taking place in only 5 weeks. This event is designed for hedge fund executives who want to receive best practices for achieving optimal compliance. In addition to learning more about the new SEC rules and their effect on your compliance processes, delegates will benefit from incisive presentations from our expert speaker faculty addressing key issues facing today’s managers:
- Status Report: Impact of Adviser Registration on the Hedge Fund Industry
- Interpreting the Current Framework for the Regulation of Hedge Funds
- Abiding by the Rules-Maintaining Comprehensive Books and Records
- Updating Existing Compliance Programs to Meet New Requirements for RIAs
- Best Practices for Chief Compliance Officers: The Year in Retrospect
- Exploring the Pros and Cons of Outsourcing vs. In-House Compliance
- How Will Increased Regulatory Scrutiny Affect the Future of the Hedge Fund Industry?
- Handling Investor Concerns and The Ensuing Operational Challenges
- What is the SEC’s Audit Approach for Hedge Funds?
- Post-Conference Workshop: Countdown to February 2006: Investment Adviser Registration & Compliance
Register for this event by calling 508.616.5550 ext. 1004.
Find more here….





