Director of Compliance & Counsel
and access,
Tony is director of compliance and counsel in our Boston office. Previously, he held a counsel position within the private investment funds group at Proskauer Rose LLP, where he advised U.S. and offshore private fund managers on all aspects of federal, state and SRO organizational and operational compliance, with a specific emphasis on the Investment Advisers Act of 1940. Tony received a Juris Doctor from Suffolk University Law School, an MBA from the University of Massachusetts at Amherst and a Bachelor of Science from Western New England University.