Kroll’s team of regulatory and compliance experts support clients across Europe from offices in Dublin, Jersey, London, Luxembourg and Paris. Our team of regulatory professionals is drawn from roles as accountants, lawyers, former regulators and in-house compliance officers, from a range of buy- and sell-side firms.
We provide tailored services for firms based upon their specific business models and requirements, whether based in one jurisdiction or across multiple locations. We are a trusted advisor to a wide variety of firms including asset managers, both alternative and traditional, banks and fiduciaries. Our team has deep expertise in assisting firms with setting up and licensing as well as providing specific project support and regular advisory support, either through secondment or as a retained advisor. We can advise firms on topics from distribution to internal audit programs and control frameworks.
We have a proud and proven track record of working with firms, regulators and investors to achieve their sometimes differing aims in a professional and pragmatic way, bringing our deep specialist knowledge to bear on every engagement that we undertake.
Private Equity Wire US Awards | |
Private Equity Wire European Awards 2023 |
Kroll is uniquely placed to assist firms in negotiating the regulatory landscape.
A range of support from a review of your suitability arrangements, training, controls and procedures to conducting bespoke reviews on past business activities.
Kroll provides a range of regulatory and compliance consulting services for firms registered in the Channel Islands.
Managers of traditional and alternative investment strategies continue to look to UCITS funds as a globally recognized, internationally distributed fund product.
by Hannah Rossiter
by Hannah Rossiter
by Hannah Rossiter
by Hannah Rossiter