Matt is part of the Compliance and Regulatory Consulting practice in New York. He works closely with a number of advisers to hedge funds and private equity funds in formation and structuring, drafting compliance manuals, analyzing fees and expenses, supporting accounting and operations functions, performing operational due diligence reviews and conducting mock regulatory examinations.
Matt has assisted clients over the years with regulatory examinations involving the U.S. Securities and Exchange Commission (SEC), Commodity and Futures Trading Commission (CFTC), National Futures Association (NFA) and FINRA.
Previously, Matt worked in hedge fund administration and accounting, most recently as an Assistant Vice President with Citi Fund Services in the firm’s Bermuda and Dublin offices.
He holds an MBA from Temple University and a BS in Accounting from La Salle University. Matt is a Certified Public Accountant.