Join us on March 7th for an informative discussion

Date:    Thurs., March 7th, 2024
Time:    11:30 AM ET | 4:30 PM GMT
Hedge funds have experienced several regulatory updates in recent years, from stricter SEC-led reporting requirements to new EU legislation designed to protect investors and increase transparency. Achieving and maintaining compliance with these ever-evolving regulations requires real-time knowledge of fund operations across many disciplines, emphasizing the need for technology to unify and streamline data. 
Join Arcesium Thursday, March 7th at 11:30 AM ET as we speak with industry leaders to discuss the evolving regulatory landscape and how incorporating the right tools and sources of information can empower hedge fund compliance teams to navigate their reporting burdens more effectively.
Learn about:
  • Regulatory Complexity: Challenges in data gathering for Form ADV, SEC's T+1 settlements, Transaction Reporting changes, Basel III End Game, and new PFA Rules; explore preparations by fund managers.
  • Tech Solutions for Compliance: Explore the need for new tools in hedge funds for regulatory reporting.
  • Data Governance & Regulatory Relations: Examine the role of strong data governance in maintaining positive relationships with regulators.

Register for the Webinar


Neil Visnapuu (2)

Neil Visnapuu
Vice President, Product Management

Neil has over 25 years of experience in the software industry focused on product development. Neil previously worked on regulatory compliance software supporting financial services that was acquired by Confluence.


Julie Dixon (2)

Julie Dixon
Global Head of Product Compliance

Julie has over 20 years of experience in financial services, spending her most recent years in regulatory compliance. Julie was the former CCO at Citadel and Magnetar and now runs a team of 100 advising hedge funds, institutional asset managers, private asset managers, and broker dealers on compliance. 


Trish Flynn (1)

Patricia (Trish) Flynn
 VP, Chief Compliance Officer

Trish has over 30 years of experience in financial services regulatory compliance. Trish’s career spans from serving on the regulator side of things at the US Securities and Exchange Commission to leading in-house compliance in her current role at Prudential.