Senior member of ACA Groups private markets practice group
In this role, he helps private funds firms implement and maintain comprehensive regulatory and operational compliance programs such as those for the FCA and SEC. Vivek also helps clients prepare for SEC audits.
Before ACA, Vivek was a senior counsel in the Private Investment Funds practice group at Proskauer Rose LLP. While there, Vivek represented illiquid asset managers in regulatory compliance matters. He also assisted them with structuring, forming, offering, and maintaining the ongoing operations of such funds.
Prior to that, Vivek managed the compliance program for the Russell Investments alternative investment business unit. He also held the role of senior attorney in the Private Investment Funds practice group at Ropes & Gray LLP.