L. JOE MORAVY, MBA, CPA 1

Size: px
Start display at page:

Download "L. JOE MORAVY, MBA, CPA 1"

Transcription

1 L. JOE MORAVY, MBA, CPA 1 CURRENT POSITION Finance Scholars Group, Chicago, Illinois Managing Director ( present) PAST POSITIONS LJM Advisory Managing Director and Owner, ( ) Ernst & Young LLP Partner ( , retired) Arthur Anderson LLP Partner ( ) Manager ( ) Professional Staff ( ) EDUCATION AND PROFESSIONAL CERTIFICATION MBA, University of Michigan, Ross School of Business BSBA, Michigan Technological University Licensed as a Certified Public Accountant, (1975- Illinois). Currently registered as a CPA in the State of Illinois. BOARD MEMBERSHIPS AQR Funds (mutual fund complex) Board of Trustees ( present) Audit Committee Chair ( present) Nominating and Governess Committee ( present) PROFESSIONAL ORGANIZATIONS American Institute of Certified Public Accountants 1 FSG is not a CPA firm

2 Illinois CPA Society Independent Directors Council National Association of Corporate Directors Bank Administration Institute, Auditing Commission ( ) Bank Administration Institute, Accounting and Finance Commission ( ) PROFESSIONAL EXPERIENCE Expert, Litigation and Investigations Expert and litigation support services on behalf of Big Four and other accounting firms and individual auditors in connection with SEC, PCAOB and other regulatory investigations. Expert and litigation support on behalf of individual financial executives in connection with lawsuits alleging improper accounting for derivatives. Advisory assistance in relation to Board of Director investigation into accounting and internal control related matters. Retained by law firms including: Arnold & Porter, Hogan Lovells, Howrey, Mayer Brown, Sidley Austin, Williams & Connolly, and Zuckerman Spaeder. Audit Engagement Partner Large, publicly-held, multi-national, money center bank holding company Large, publicly-held, multi-national, bank and trust company Banking branches of foreign banks Community/regional publicly-held and privately-owned banking companies Privately-owned global investment firm Publicly-held online broker/dealer Privately owned broker/dealer and Futures Commission Merchants (FCMs) Privately-owned private equity investment firm Large, privately-held commodities exchange Privately-owned Small Business Investment Companies Resume of L. Joe Moravy, MBA, CPA. Page 2 of 4

3 Concurring Review Partner Publicly-held international middle market investment banking and securities firm Community/regional publicly-held and privately-owned banking companies Large, publicly-held consumer finance company Other Professional Experience Regional Financial Accounting & Reporting Expert Leader. Led a team of partners and managers organized to assist engagement teams with complex accounting and reporting questions including issues such as derivatives (FAS 133), securitization (FAS 140), stock-based compensation and business combinations. Member Sarbanes Oxley 404 Leadership Team. Responsible for assisting public companies in preparing for new internal control reporting requirements, as well as, for training and advising engagement teams on the audit process required for such reporting. Member Sarbanes Oxley 404 Leadership Team. Responsible for assisting public companies in preparing for new internal control reporting requirements, as well as, for training and advising engagement teams on the audit process required for such reporting. Participant and Team Leader of the internal Audit Quality Review Program. Within the accounting and audit practice of the firms. Led review teams in Moscow and London. Special Projects Initial public offering for online broker. Public offerings of registered equity and debt securities for publicly-held financial services companies. Private placement of debt for publicly held companies. Advisory Services Projects Design a process to identify and hedge foreign currency risk for a global consumer goods manufacturer based in Chicago, Illinois. Review the investment practices, including the use of derivatives, and present findings to the Board of Directors for a high tech company based near San Jose, California. Review of the allowance for loan loss methodology for the credit card business of a major bank and credit card issuer based in New York, New York. In connection with this project survey and benchmark credit card reserving practices of major credit card issuers. Resume of L. Joe Moravy, MBA, CPA. Page 3 of 4

4 Review of credit card merchant processing business, from an internal control and risk management perspective for a major Midwestern based bank. Due diligence review of a captive private label issuer on behalf of a potential buy out by business development firm covering its accounting practices and processes, as well as, its portfolio composition and risks. Presentation about what and how derivatives are used to Board of Directors a major European bank. CONTACT INFORMATION L. Joe Moravy Managing Director Finance Scholars Group Phone: Fax: Cell: [email protected] May 2011 Resume of L. Joe Moravy, MBA, CPA. Page 4 of 4

5 Accounting Economics Finance Intellectual Property Marketing Valuation California Illinois New York Texas FSG provides consulting and expert witness services related to complex issues in accounting, economics, finance, intellectual property, marketing, and valuation. Our experts include prominent professors from leading universities and experienced, highly-credentialed staff professionals, including CPAs, CFAs, MBAs, and PhDs.

KAREN KINCAID BALMER, CPA, CFF, CFE, CrFA

KAREN KINCAID BALMER, CPA, CFF, CFE, CrFA KAREN KINCAID BALMER, CPA, CFF, CFE, CrFA Forensic Accounting and Litigation Services Contact Information: 917-301-5897 320 East 46 th Street 5G, New York, NY 10017 [email protected] As a Certified

More information

Workshop: Private Fund Fee and Expense Allocations

Workshop: Private Fund Fee and Expense Allocations Workshop: Private Fund Fee and Expense Allocations November 10, 2015 Presented by Ann Gittleman & Sherif Assef 1. Introduction 2 Potential Risks for Private Funds Investor skepticism has increased as violations

More information

OFFSHORE INVESTMENT U.S. INTERNATIONAL TAX PLANNING AN ASIAN PERSPECTIVE. June 9th and 10th, 2010 SHANGHAI

OFFSHORE INVESTMENT U.S. INTERNATIONAL TAX PLANNING AN ASIAN PERSPECTIVE. June 9th and 10th, 2010 SHANGHAI OFFSHORE INVESTMENT U.S. INTERNATIONAL TAX PLANNING AN ASIAN PERSPECTIVE June 9th and 10th, 2010 SHANGHAI Harriet Leung [email protected] Brian [email protected] & Company LLP 101 Second Street, Suite

More information

1 Regional Bank Regional banks specialize in consumer and commercial products within one region of a country, such as a state or within a group of states. A regional bank is smaller than a bank that operates

More information

Center for Gifted Education Focusing on the Future 2015 CAREERS IN FINANCE

Center for Gifted Education Focusing on the Future 2015 CAREERS IN FINANCE Center for Gifted Education Focusing on the Future 2015 CAREERS IN FINANCE What is Finance? The science that describes the management, creation and study of money, banking, credit, investments, assets

More information

Issues in insurance company mergers & acquisitions

Issues in insurance company mergers & acquisitions Issues in insurance company mergers & acquisitions By Perry J. Shwachman, Anthony J. Ribaudo and R. Bradley Drake, Sidley Austin LLP The completion of a successful merger or acquisition involving insurance

More information

JUDSON CASKEY. Ann Arbor, Michigan, April 2002 (with High Distinction)

JUDSON CASKEY. Ann Arbor, Michigan, April 2002 (with High Distinction) JUDSON CASKEY University of Texas, Austin Office: (512)471-5752 McCombs School of Business Mobile: (310)775-0080 2110 Speedway, Stop B6400 [email protected] Austin, TX 78712-1281 http://webspace.utexas.edu/jc2279/www/

More information

How To Invest In Pinyon Pine Capital

How To Invest In Pinyon Pine Capital Overview Pinyon Pine Capital (PPC) is a registered investment advisory firm that began managing client accounts in March of 2011 PPC offers two investment strategies: long-only and hedged Primary Focus

More information

Jed Greene, CPA, CFF, CMA

Jed Greene, CPA, CFF, CMA CURRICULUM VITAE Jed Greene, CPA, CFF, CMA Mr. Greene is a Principal at Five Corners Group. Mr. Greene has 20 years of experience handling various matters involving intellectual property disputes, commercial

More information

A Leading Firm. Services Audit Tax Business Advisory

A Leading Firm. Services Audit Tax Business Advisory A Leading Firm Houston Dallas 14755 Preston Road Suite 320 Dallas, TX 75254 P: 972-458-2296 F: 972-788-4943 Denver 1999 Broadway Suite 4000 Denver, CO 80202 P: 303-298-9600 F: 303-298-8118 Orange County

More information

FS Regulatory Brief. How the SEC s Custody Rule Impacts Private Fund Advisers. Introduction. The Custody Rule: An overview

FS Regulatory Brief. How the SEC s Custody Rule Impacts Private Fund Advisers. Introduction. The Custody Rule: An overview How the SEC s Custody Rule Impacts Private Fund Advisers Introduction Under the Dodd-Frank Wall Street Reform and Consumer Protection Act (Dodd-Frank, or the Act ) and rules recently adopted by the Securities

More information

EXPERIENCE: GLOBAL ECONOMICS GROUP, LLC (CHICAGO, IL)

EXPERIENCE: GLOBAL ECONOMICS GROUP, LLC (CHICAGO, IL) PETER C. HICKEY Global Economics Group, LLC 140 S. Dearborn, Suite 1000 Chicago, IL 60603 Office: (312) 470-6502 Cell: (773) 791-7287 E-mail: [email protected] CURRENT EMPLOYMENT: EDUCATION:

More information

Part 2A of Form ADV: Firm Brochure

Part 2A of Form ADV: Firm Brochure Part 2A of Form ADV: Firm Brochure Item 1 Cover Page ADVISORY PROGRAM BROCHURE For CROWN CAPITAL MANAGEMENT LLC 15851 Dallas Parkway, Suite 600 Addison, TX 75001 (972) 272-2000 www.crowncm.com This brochure

More information

Financial Security by Design

Financial Security by Design Peter James Lingane, EA, CFP Financial Security by Design 852 Acampo Drive Lafayette, CA 94549 925.299.0472 or [email protected] www.lingane.com/tax March 26, 2015 This brochure provides information about

More information

Audit committee forum*

Audit committee forum* Ashok Bakhru Chairman of the Board Goldman Sachs Group of Mutual Funds Ashok Bakhru is President of ABN Associates, a management and financial consulting firm working with mid-size firms. Ashok served

More information

Financial Solutions LLC

Financial Solutions LLC Financial Solutions LLC Form ADV Part 2A February, 2014 4946 Donegal Cliffs Drive Dublin, Ohio 43017 614 604 3551 www.financialsols.com This brochure provides information about the qualifications and business

More information

Managing for the future. Annual Report 2005 Additional Information

Managing for the future. Annual Report 2005 Additional Information Managing for the future Annual Report 2005 Additional Information Annual Report 2005 Additional Information I. Tables of returns 1. Auditors Report... 1 2. General Notes... 2 3. Short Term Investments...

More information

Part 2A Brochure. Investus Financial Planning, Inc. 1765 Santa Ana Ave, U-202 Costa Mesa, CA 92627 949-645-1403

Part 2A Brochure. Investus Financial Planning, Inc. 1765 Santa Ana Ave, U-202 Costa Mesa, CA 92627 949-645-1403 Part 2A Brochure Investus Financial Planning, Inc. 1765 Santa Ana Ave, U-202 Costa Mesa, CA 92627 949-645-1403 This brochure provides information about the qualifications and business practices of Investus

More information

Accounting and Auditing Matters

Accounting and Auditing Matters Accounting and Auditing Matters The Chief Accountant is the principal adviser to the Commission on accounting and auditing matters arising from the administration of the federal securities laws. Activities

More information

IFIAR 2015 Member Profile - PCAOB

IFIAR 2015 Member Profile - PCAOB Jurisdiction United States of America (USA) 1. Organization Insert the name of the Organization, both in the local language and in English: Public Company Accounting Oversight Board ( PCAOB ) Include relevant

More information

Kensington Realty Advisors, Inc. Brochure

Kensington Realty Advisors, Inc. Brochure Part 2A of Form ADV: Kensington Realty Advisors, Inc. Brochure Kensington Realty Advisor, Inc. 100 N. Riverside Plaza Suite 2300 Chicago, IL 60606 312-993-7800 Fax: 312 993-7801 www.kra-net.com James S.

More information

Alternative Public Offerings: What Companies Need to Know. Barry I. Grossman, Esq. Ellenoff Grossman & Schole LLP

Alternative Public Offerings: What Companies Need to Know. Barry I. Grossman, Esq. Ellenoff Grossman & Schole LLP Alternative Public Offerings: What Companies Need to Know Barry I. Grossman, Esq. Ellenoff Grossman & Schole LLP What is a Reverse Merger? Means of taking a private company into the public marketplace

More information

Unison Advisors LLC. The date of this brochure is March 29, 2012.

Unison Advisors LLC. The date of this brochure is March 29, 2012. Unison Advisors LLC 2032 Belmont Road NW, #619 Washington, DC 20009 T 646 290 7697 F 646 290 5477 www.unisonadvisors.com The date of this brochure is March 29, 2012. This brochure provides information

More information

Ruth Ann Castellano-Piatt CPA/PFS, CFP, CGMA, AEP,MBA 4320 Hillcrest Avenue, N.W. Albuquerque, NM 87120 (505) 480-4273 Cellular ruthannp@comcast.

Ruth Ann Castellano-Piatt CPA/PFS, CFP, CGMA, AEP,MBA 4320 Hillcrest Avenue, N.W. Albuquerque, NM 87120 (505) 480-4273 Cellular ruthannp@comcast. Certificates Education Ruth Ann Castellano-Piatt CPA/PFS, CFP, CGMA, AEP,MBA 4320 Hillcrest Avenue, N.W. Albuquerque, NM 87120 (505) 480-4273 Cellular [email protected] Certified Public Accountant,

More information

Valuing and Reporting Plan Investments

Valuing and Reporting Plan Investments Valuing and Reporting Plan Investments PLAN ADVISORY Table of Contents Introduction 2 Your Responsibility for Reporting Plan Investments 3 Your Responsibility for Valuing Investments and Establishing

More information

Financial Advisor Interview Questionnaire

Financial Advisor Interview Questionnaire Financial Advisor Interview Questionnaire Advisor name: Company Name: Cyril S. White White House Financial & Investment Solutions, LLC Date: May 30, 2013 Why did you become a financial advisor? I became

More information

A Guide to Crowdfunding for Companies Seeking to Raise Capital

A Guide to Crowdfunding for Companies Seeking to Raise Capital A Guide to Crowdfunding for Companies Seeking to Raise Capital A publication of the Securities Law Practice mefiifmp=kfwbo LLP June 2012 On April 5, 2012, President Obama signed into law the Jumpstart

More information

September 2010 Report No. 11-003

September 2010 Report No. 11-003 John Keel, CPA State Auditor Selected Investment Practices at the Texas Treasury Safekeeping Trust Company, the Employees Retirement System, and the Texas A&M University System Report No. 11-003 Selected

More information

RF Ougheltree & Associates, LLC 1050 Wall Street West, Ste 330 Lyndhurst, New Jersey 07071 Phone: 201-964-9881 Fax: 201-964-9889 www.rfoins.

RF Ougheltree & Associates, LLC 1050 Wall Street West, Ste 330 Lyndhurst, New Jersey 07071 Phone: 201-964-9881 Fax: 201-964-9889 www.rfoins. RF Ougheltree & Associates, LLC 1050 Wall Street West, Ste 330 Lyndhurst, New Jersey 07071 Phone: 201-964-9881 Fax: 201-964-9889 www.rfoins.com Broker / Dealer Professional Liability Application General

More information

John H. Reith, MBA, CPA, CVA, CMA, CIA 924 South Oakland Avenue Pasadena, California 91106-3727

John H. Reith, MBA, CPA, CVA, CMA, CIA 924 South Oakland Avenue Pasadena, California 91106-3727 , MBA, CPA, CVA, CMA, CIA 924 South Oakland Avenue Pasadena, California 91106-3727 Telephone: 626 440 1820 Fax: 626 395 7692 PROFESSIONAL EXPERIENCE The Reith Company, Pasadena, California Founding principal,

More information

A Leading Firm. Services Audit Tax Business Advisory

A Leading Firm. Services Audit Tax Business Advisory A Leading Firm Dallas 14755 Preston Road Suite 320 P: 972-458-2296 F: 972-788-4943 Denver 1999 Broadway Suite 4000 Denver, CO 80202 P: 303-298-9600 F: 303-298-8118 Houston 500 Dallas Street Suite 2500

More information

Audit and Permitted Non-Audit Services Pre-Approval Policy (Pertaining to the Company s Independent Auditor)

Audit and Permitted Non-Audit Services Pre-Approval Policy (Pertaining to the Company s Independent Auditor) Audit and Permitted Non-Audit Services Pre-Approval Policy (Pertaining to the Company s Independent Auditor) Statement of Principles Pursuant to the Sarbanes-Oxley Act of 2002 (the Act ) and in accordance

More information

BARUCH COLLEGE DEPARTMENT OF ECONOMICS & FINANCE Professor Chris Droussiotis LECTURE 2. Chapter 3 SECURITIES MARKETS

BARUCH COLLEGE DEPARTMENT OF ECONOMICS & FINANCE Professor Chris Droussiotis LECTURE 2. Chapter 3 SECURITIES MARKETS LECTURE 2 Chapter 3 SECURITIES MARKETS IPO Required Docs: Amendment to the certificate of incorporation Corporate Governance (Private are far less formal responsibility) Recruit Independent Board Members

More information

Preparing for a Post Dodd Frank World

Preparing for a Post Dodd Frank World A Whistleblower in Your Midst: Preparing for a Post Dodd Frank World July 21, 2011 Amy L. Bess, Shareholder, Vedder Price P.C. Joseph M. Mannon, Of Counsel, Vedder Price P.C. Jeannette L. Lewis, Principal,

More information

Reverse Mergers Barry I. Grossman Ellenoff Grossman & Schole LLP

Reverse Mergers Barry I. Grossman Ellenoff Grossman & Schole LLP Reverse Mergers Barry I. Grossman Ellenoff Grossman & Schole LLP About EG&S Ellenoff Grossman & Schole LLP is a New York City-based law firm comprised of more than 65 professionals (30+ Securities Lawyers),

More information

PS&Co. Builds Value in Construction

PS&Co. Builds Value in Construction PS&Co. Builds Value in Construction Soundly Constructed Expertise Construction companies experience powerful economic cycles and complex business requirements. Managing project costs and cash flow is vital

More information

Walter F. Brown Jr. Profile. Practices. Education. Honors. Partner White Collar, Investigations, Securities Litigation & Compliance.

Walter F. Brown Jr. Profile. Practices. Education. Honors. Partner White Collar, Investigations, Securities Litigation & Compliance. Partner White Collar, Investigations, Securities Litigation & Compliance San Francisco (415) 773-5995 Profile Walter F. Brown, Jr., a partner in the San Francisco office, is a seasoned trial lawyer and

More information

2. Placement Agent Information:

2. Placement Agent Information: 2. Placement Agent Information: (a) (b) The name of the Placement Agent is: The name of the Placement Agent is: Private Fund Group of Credit Suisse Securities (USA) LLC ( CS or the Placement Agent ). Attached

More information

BERNADETTE A. MINTON

BERNADETTE A. MINTON BERNADETTE A. MINTON Department of Finance Fisher College of Business The Ohio State University 700E Fisher Hall 2100 Neil Avenue Columbus, OH 43210-1144 (614) 688-3125 [email protected] EDUCATION

More information

MAcc. Master of Accounting Program

MAcc. Master of Accounting Program MAcc Master of Accounting Program Launching Fall 2013 Table of Contents Why a Master of Accounting Degree?... 2 Master of Accounting Two Locations.... 3 Master of Accounting Curriculum Overview.... 4 MAcc

More information

SEC auditor independence considerations

SEC auditor independence considerations SEC auditor independence considerations When a PEG has a registered investment adviser September 2013 The Dodd-Frank Wall Street Reform and Consumer Protection Act requires most advisers of private funds

More information

Friday, October 10 West Tower, Regency Ballroom CD 1:00 pm 3:00 pm

Friday, October 10 West Tower, Regency Ballroom CD 1:00 pm 3:00 pm SuSan M. freeman ModEraTor Susan Freeman concentrates her practice on business bankruptcy and on appeals of all kinds. She is the only lawyer invited to membership (and leadership) in both the American

More information

Megan F. Hess, Ph.D. Williams School of Commerce, Economics, and Politics Washington and Lee University Lexington, VA 24450 hessm@wlu.

Megan F. Hess, Ph.D. Williams School of Commerce, Economics, and Politics Washington and Lee University Lexington, VA 24450 hessm@wlu. Megan F. Hess, Ph.D. Williams School of Commerce, Economics, and Politics Washington and Lee University Lexington, VA 24450 [email protected] Professor Hess research focuses on financial statement fraud and

More information

Registration; Amendments or Updates to Registration

Registration; Amendments or Updates to Registration FEBRUARY 7, 2011 INVESTMENT MANAGEMENT UPDATE Registered Investment Adviser Annual Reviews; Calendar of Certain 2011 Significant Dates for Advisers Investment advisers that are registered with the Securities

More information

Dr. Terrance K Martin Jr

Dr. Terrance K Martin Jr Dr. Terrance K Martin Jr The University of Texas Rio Grande Valley Department of Economics and Finance (956) 665-7358 Email: [email protected] EDUCATION PhD, Texas Tech University, 2013 Major:

More information

PERMANENT HEALTH FUND FINANCIAL STATEMENTS

PERMANENT HEALTH FUND FINANCIAL STATEMENTS FINANCIAL STATEMENTS Years Ended August 31, 2001 and 2000 Deloitte & Touche LLP Suite 2300 333 Clay Street Houston, Texas 77002-4196 Tel: (713) 982-2000 Fax: (713) 982-2001 www.us.deloitte.com INDEPENDENT

More information

July 2004 November 2005

July 2004 November 2005 July 2004 November 2005 Our firm has been growing and changing over the years and many of you have not had the opportunity to meet all the employees of Private Wealth Management. Over the next several

More information

ELLEN E. ENGEL. Education Stanford University, Graduate School of Business, Ph.D. - Accounting, 1997.

ELLEN E. ENGEL. Education Stanford University, Graduate School of Business, Ph.D. - Accounting, 1997. ELLEN E. ENGEL University of Chicago Booth School of Business 5807 South Woodlawn Avenue Chicago, IL 60637 Office Phone: (773) 834-0966 Mobile Phone: (847) 644-2961 [email protected] Academic

More information

CHRIS E. HOGAN. Accounting and Information Systems Department April, 2011

CHRIS E. HOGAN. Accounting and Information Systems Department April, 2011 Accounting and Information Systems Department April, 2011 The Eli Broad College of Business [email protected] Michigan State University voice (517) 353-8647 East Lansing, MI 48824 fax (517) 432-1101 EDUCATION

More information

Statement of Investment Policies and Procedures

Statement of Investment Policies and Procedures Effective July 1, 2015 Canadian Cancer Society Statement of Investment Policies and Procedures Background The Society wishes to invest funds in a prudent manner, with appropriate consideration given to

More information

Campus Recruiting. Tax. kpmgcampus.com

Campus Recruiting. Tax. kpmgcampus.com Campus Recruiting Tax kpmgcampus.com EVS KPMG s Economic and Valuation Services (EVS) professionals offer a wide range of advanced analytical services that help clients make forward-thinking decisions

More information

ERISA 408(b)(2) Disclosure Statement

ERISA 408(b)(2) Disclosure Statement This Fee Disclosure Guide 1 contains a description of services provided to plans and/or its participants as well as sources of compensation received by us or our affiliates which details are set forth

More information

Ascendiant Capital Group LLC Ascendiant Securities LLC; Member FINRA & SIPC

Ascendiant Capital Group LLC Ascendiant Securities LLC; Member FINRA & SIPC about Ascendiant Capital Group LLC Ascendiant Securities LLC; Member FINRA & SIPC Investment capital and strategic guidance for publicly traded, emerging growth companies about Established in 2001, Ascendiant

More information

IQTick Advisors. Form ADV Part 2A Disclosure Brochure

IQTick Advisors. Form ADV Part 2A Disclosure Brochure Form ADV Part 2A Disclosure Brochure Effective: January 4, 2013 This Disclosure Brochure provides information about the qualifications and business practices of PredictWallStreet, Inc. d/b/a ( IQTick ).

More information

VITA MICHAEL W. FAULKENDER. R.H. Smith School of Business Office: (301) 405-1064

VITA MICHAEL W. FAULKENDER. R.H. Smith School of Business Office: (301) 405-1064 VITA MICHAEL W. FAULKENDER R.H. Smith School of Business Office: (301) 405-1064 Finance Department Email: [email protected] University of Maryland College Park, MD 20742 ACADEMIC POSITIONS HELD

More information

GLOBAL WEALTH MANAGEMENT

GLOBAL WEALTH MANAGEMENT FIRM BROCHURE FORM ADV PARTS 2A and 2B Global Wealth Management 3334 E. Coast Hwy, #101 Corona del Mar, CA 92625 Telephone: (949) 892-7700 Facsimile: (949) 334-1333 www.gwmllc.com January 15, 2014 This

More information

PROVISION OF AUDIT AND OTHER SERVICES BY THE EXTERNAL AUDITOR

PROVISION OF AUDIT AND OTHER SERVICES BY THE EXTERNAL AUDITOR PROVISION OF AUDIT AND OTHER SERVICES BY THE Brief description Defines the circumstances within which an External Auditor may provide audit and other services. BHP Billiton Group Level Document 1. Intent

More information

Ric Andersen Partner, Peak Equity

Ric Andersen Partner, Peak Equity Ric Andersen Partner, Peak Equity Image API EnterpriseDB Vertex G5 American Public Education Barra Foundation Ric Andersen joined PeakEquity Partners as a Partner in 2015. Ric leverages over 30 years of

More information

AIFMD investor information document Temple Bar Investment Trust PLC

AIFMD investor information document Temple Bar Investment Trust PLC AIFMD investor information document Temple Bar Investment Trust PLC Temple Bar Investment Trust PLC (the Company ) was incorporated in 1926 with the registered number 214601. The Company carries on business

More information

The Basics of Fiduciary Responsibility under ERISA

The Basics of Fiduciary Responsibility under ERISA The Basics of Fiduciary Responsibility under ERISA Prepared by Elizabeth A. LaCombe, Esq. I Who Is A Fiduciary Under the Employee Retirement Income Security Act of 1974 (ERISA)? Any person or entity who:

More information

ADVISORY Private Funds

ADVISORY Private Funds ADVISORY Private Funds BEIJING BRUSSELS LONDON NEW YORK SAN DIEGO SAN FRANCISCO SILICON VALLEY WASHINGTON www.cov.com November 14, 2011 SEC ADOPTS FINAL RULES REQUIRING REPORTING BY PRIVATE FUND ADVISERS

More information

Investment Advisor Brochure

Investment Advisor Brochure Investment Advisor Brochure Form ADV Part 2A December 16, 2015 Kadisak Financial Services, Inc. 710 E. Ogden Ave., Suite 130 Naperville, IL 60563 Phone: 630-369-3336 Fax: 630-369-3337 Email: [email protected]

More information

Part 2B of Form ADV SEC Firm Brochure Supplement

Part 2B of Form ADV SEC Firm Brochure Supplement Part 2B of Form ADV SEC Firm Brochure Supplement (for Direct Clients) Professional Backgrounds of: Greg Miller, CPA (CEO, Principal) Darlene M. Murphy, CPA, CFP (President, Principal) Michael D. Miller

More information

FIDUCIARY ADVISERS KNOW THE FACTS

FIDUCIARY ADVISERS KNOW THE FACTS FIDUCIARY ADVISERS KNOW THE FACTS There is a significant amount of confusion and misinformation in the marketplace regarding investment advisers ability to relieve plan sponsors of their fiduciary responsibilities

More information

Alvarez & Marsal Global Forensic and Dispute Services. 2015 Asia Pacific Regional Meeting (APRM) Tokyo, Japan 23-25 April 2015

Alvarez & Marsal Global Forensic and Dispute Services. 2015 Asia Pacific Regional Meeting (APRM) Tokyo, Japan 23-25 April 2015 Alvarez & Marsal Global Forensic and Dispute Services 2015 Asia Pacific Regional Meeting (APRM) Tokyo, Japan 23-25 April 2015 A&M OVERVIEW GLOBAL REACH NEW YORK (GLOBAL HQ) LONDON (EUROPE HQ) HONG KONG

More information

UBS RMA Money Market Portfolio U.S. Government Portfolio Tax-Free Fund California Municipal Money Fund New York Municipal Money Fund

UBS RMA Money Market Portfolio U.S. Government Portfolio Tax-Free Fund California Municipal Money Fund New York Municipal Money Fund Money Market Funds Prospectus UBS RMA Money Market Portfolio U.S. Government Portfolio Tax-Free Fund California Municipal Money Fund New York Municipal Money Fund Prospectus August 28, 2015 Ticker symbols:

More information

Documenting and Negotiating Prime Brokerage Agreements

Documenting and Negotiating Prime Brokerage Agreements Documenting and Negotiating Prime Brokerage Agreements September 26, 2013 1. About the Speakers 2. Presentation 3. About Schulte Roth & Zabel About the Speakers Craig Stein Schulte Roth & Zabel LLP 919

More information

May 15, 2000. Ms. Hae Han Office of Government Services Arthur Andersen LLP 1150 17 th Street, NW Suite 900 Washington, DC 20036. Dear Ms.

May 15, 2000. Ms. Hae Han Office of Government Services Arthur Andersen LLP 1150 17 th Street, NW Suite 900 Washington, DC 20036. Dear Ms. May 15, 2000 Ms. Hae Han Office of Government Services Arthur Andersen LLP 1150 17 th Street, NW Suite 900 Washington, DC 20036 Dear Ms. Han: We were engaged by you to provide an independent expert opinion

More information

How To Set Up A Committee To Check On Cit

How To Set Up A Committee To Check On Cit CIT Group Inc. Charter of the Audit Committee of the Board of Directors Adopted: October 22, 2003 Last Amended: April 20, 2015 I. PURPOSE The purpose of the Committee is to assist the Board in fulfilling

More information

Limited Scope Audits Of Employee Benefit Plans

Limited Scope Audits Of Employee Benefit Plans Limited Scope Audits Of Employee Benefit Plans May 2009 Topix Primer Series Introduction The AICPA Employee Benefit Plan Audit Quality Center has developed this primer to provide a general understanding

More information

REAL ESTATE & HOSPITALITY. Real Insurance Solutions for Real Estate and Hospitality

REAL ESTATE & HOSPITALITY. Real Insurance Solutions for Real Estate and Hospitality REAL ESTATE & HOSPITALITY Real Insurance Solutions for Real Estate and Hospitality Real Estate & Hospitality Risk Management Services We Understand Your Business Understanding the specific issues facing

More information

) ) ) ) ) ) ) ) ) ) )

) ) ) ) ) ) ) ) ) ) ) 1666 K Street, N.W. Washington, DC 20006 Telephone: (202 207-9100 Facsimile: (202 862-0757 www.pcaobus.org INSTITUTING DISCIPLINARY PROCEEDINGS, MAKING FINDINGS, AND IMPOSING SANCTIONS In the Matter of

More information

Dan T. Stathos, CPA* Associate Director

Dan T. Stathos, CPA* Associate Director Dan T. Stathos, CPA* [email protected] Austin, Texas Direct: 512.493.5415 Professional Summary Dan Stathos, an in NCI s Austin, Texas office, has been involved with electric, gas, water and telephone

More information

STATEMENT OF POLICY REGARDING CORPORATE SECURITIES DEFINITIONS

STATEMENT OF POLICY REGARDING CORPORATE SECURITIES DEFINITIONS STATEMENT OF POLICY REGARDING CORPORATE SECURITIES DEFINITIONS Adopted April 27, 1997; Amended September 28, 1999 & March 31, 2008 I. INTRODUCTION This Statement of Policy Regarding Definitions applies

More information

The Master Statement of Investment Policies and Objectives of The Lower Colorado River Authority Retirement Plan and Trust. Amended June 16, 2015

The Master Statement of Investment Policies and Objectives of The Lower Colorado River Authority Retirement Plan and Trust. Amended June 16, 2015 The Master Statement of Investment Policies and Objectives of The Lower Colorado River Authority Retirement Plan and Trust Amended June 16, 2015 Introduction The Lower Colorado River Authority ( LCRA )

More information

Pillar Wealth Management, LLC. Client Brochure

Pillar Wealth Management, LLC. Client Brochure Pillar Wealth Management, LLC. Client Brochure This brochure provides information about the qualifications and business practices of Pillar Wealth Management, LLC.. If you have any questions about the

More information

USCF ETF TRUST AUDIT COMMITTEE CHARTER

USCF ETF TRUST AUDIT COMMITTEE CHARTER USCF ETF TRUST AUDIT COMMITTEE CHARTER Pursuant to Article V, Section 10.3 of the Declaration of Trust of USCF ETF Trust (the Trust ), the Board of Trustees (the Board ) of the Trust hereby establishes

More information

REED SMITH LLP INVESTMENT ADVISER NEWS QUARTERLY UPDATE

REED SMITH LLP INVESTMENT ADVISER NEWS QUARTERLY UPDATE 4th Quarter 2004 REED SMITH LLP INVESTMENT ADVISER NEWS QUARTERLY UPDATE The Investment Adviser News features regulatory and other news items of interest to the investment management industry and investment

More information

Advisory Agreement: Asset Management Services

Advisory Agreement: Asset Management Services Advisory Agreement: Asset Management Services This Investment Advisory Services Agreement for asset management services ( Agreement ) is made by and between MyWealthyOptions LLC ( MWO or Adviser ), a registered

More information

WEDBUSH SECURITIES INC. (Futures & Commodities, Crossland Division)

WEDBUSH SECURITIES INC. (Futures & Commodities, Crossland Division) WEDBUSH SECURITIES INC. (Futures & Commodities, Crossland Division) The following Firm Disclosure Document is important information regarding Wedbush Securities, Inc., and in particular the Futures & Commodities,

More information

Investment Advisers Act of 1940

Investment Advisers Act of 1940 Investment Advisers Act of 1940 Robert Bramnik August 2014 2014 Duane Morris LLP. All Rights Reserved. Duane Morris is a registered service mark of Duane Morris LLP. Duane Morris Firm and Affiliate Offices

More information