Grace’s professional career spans more than twenty-five years across fund managers and broker-dealers. Grace functioned as a manager, partner, member, and Chief Compliance Officer of both broker-dealers and investment advisors, and acquired extensive expertise in private fund management, trading floor operations, FINRA/SEC/NFA/CFTC reporting, underwriting and supervisory control procedures. Grace maintains particular familiarity with Dodd-Frank, FSA, […]