Jamie Robinson is an associate and a member of the Asset Management and Investment Funds practice. Prior to returning to the firm, she served as counsel and deputy chief compliance officer to an SEC-registered investment adviser. Through this role, she gained both private funds and compliance and corporate experience. She advised on legal issues relating to private fund documentation; reviewed all marketing decks and materials for distribution to investors and prospects; led fund closings; and reviewed and responded to DDQs and other investment requests. In addition, she developed, reviewed, and revised firm policies; oversaw and implemented all compliance functions and processes across the firm; provided new hire and firmwide employee compliance training; and more.
Previously, Jamie was an associate in the firm’s Asset Management and Investment Funds practice where she drafted private equity fund and venture fund documentation; advised clients throughout lifecycle of fund formation; advised on various legal and regulatory requirements with respect to proper dissolution of funds; and more.
This is a temporary biography. A complete biography will be available soon.