Jane represents and counsels clients on a broad range of matters related to investment fund structuring, formation, and operation, focusing on private equity funds, hedge funds, real estate funds, and commodities funds.
Having served as the lead compliance officer at two private firms in the New York City area, she brings both significant experience and a strong tax background when advising clients on the formation of domestic and offshore funds, funds of funds, and master-feeder funds. She has launched domestic and offshore funds and related entities with operations in the Cayman Islands, British Virgin Islands, Hong Kong, and Japan.
Jane also counsels clients on initial and ongoing regulatory issues, including various registration and reporting requirements and exemptions under the Investment Advisers Act, the Investment Company Act, the Commodity Exchange Act, the Securities Act of 1933, and state investment adviser and blue sky laws. She also advises clients on operational, transaction, and compliance matters such as investment allocations, fee and expense arrangements, negotiation of terms and side letters, personal trading matters, and the structuring of employment and compensation arrangements for fund sponsors and affiliates.
Broker-Dealer | Corporate | Fund Formation & Structuring | Fund Regulatory & Compliance | Investment Management
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