MFA Legal & Compliance is an unparalleled one-day program, providing legal and compliance professionals of private funds access to:

  • Insightful conversations with regulators
  • Timely and topical thought leadership combined with tactical advice from the industry’s foremost legal minds
  • Conversations focused on the key regulations and trends impacting your firm
  • Opportunities for candid peer-to-peer exchanges, exploring ways to adapt and respond to new and evolving compliance requirements.

MFA applies for CLE credits for all qualifying sessions.

The agenda is designed specifically by an Advisory Council comprised of the industry’s leading General Counsels and Chief Compliance Officers. All panels feature leading outside legal counsel as well as select industry experts. The speaking faculty is comprised of current and former regulators, General Counsels, Chief Compliance Officers, and outside counsels.

Contact

For information regarding sponsorship, programming, or attendance — please contact conferences@managedfunds.org.