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William G. Mulligan, Jr., Chairman and CEO
Prior to founding the Group on January 1, 2001, Bill was an associate in the Investment Management
Group of Seward & Kissel LLP for almost six years. At S&K, he specialized in the formation and
structuring of private investment funds and private equity products. Bill also represented both
registered and unregistered investment advisers while assisting clients in addressing CFTC-related
matters. He handled the listing of private investment funds on both U.S. and non-U.S. exchanges,
advising clients about ongoing SEC filing requirements, as well as providing overall securities,
corporate and tax advice to the firm's clients. Bill received a JD degree from Cornell Law School
in 1995 and a BA from Boston University in 1991 and is certified as an Investment Adviser Certified
Compliance Professional (IACCPsm) by National Regulatory Service's Center for Compliance
Professionals. He currently serves as Chairman of the Board of Managers of the Alternative
Investment Compliance Association.
Our Management Team
Jeffrey F. Mulligan, Chief Operating Officer
Rinarisa Coronel-DeFronze, Esq., Executive Vice President
Patrick F. Shea, Senior Vice President
Rachel Eve Meyer, Esq., Senior Vice President
Derek Backofen, Vice President
Jillian Timmermans, Vice President
Zabrina Barile, Managing Director - Due Diligence Division
Jordan Schwartz, Managing Director - ComplianceTrak
Marissa Liriano, Managing Director
Benjamin Weiner, Director of Sales and Marketing
Diana Romero, Director - Due Diligence Division
Melissa Lovell, Senior Due Diligence Research Associate
Alan Binder, Controller
Michelle Rodriguez, Director of Human Resources & Financial Operations
Dotan Akiva, Director of IT
Christopher Ghirardi, Senior Software Developer
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