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Includes Credits Includes a Live Web Event on 06/18/2025 at 1:00 PM (EDT)
Join us for an engaging webinar to explore the rapidly evolving landscape of financial reconciliation in the face of an explosion in data volume and fragmentation, shifting regulatory expectations and new AI technology.
This webinar explores the rapidly evolving landscape of financial reconciliation in the face of an explosion in data volume and fragmentation, shifting regulatory expectations and new AI technology. As operational efficiency becomes a competitive advantage, firms are confronting challenges around data integration, automation governance, and organizational transformation. We will discuss the current capabilities and limitations of AI in reconciliation processes, separating hype from reality, and highlight strategic approaches for modernization including legacy integration, workforce reskilling, and internal advocacy. Participants will leave with practical insights and a roadmap to build resilient, future-ready operations in an era of speed, complexity, and accountability.
Learning Outcomes
• Analyze the impact of growing data volumes and fragmentation on reconciliation processes and risk controls.
• Assess how AI and automation can be leveraged to manage exceptions, detect anomalies, and support scalable operations.
• Distinguish between AI hype and practical, deployable solutions in reconciliation, including the importance of human oversight.
Develop strategies to drive operational excellence as a competitive advantage, not just a compliance measure.Target Audience:
Financial Operations Professionals
Technology and Innovation Leaders
Compliance, Audit, and Risk Officers
Data and Analytics Experts
Change Management and Strategy ExecutivesThis program is sponsored by:
CPE Credits Redeemable with NASBA
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Information Technology
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Applied Finance and Economics
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy
Murray Campbell
Principal Product Manager
AutoRek
Murray has over 10 years of experience working in investment businesses across regulatory compliance and operational resilience. At AutoRek, Murray is a Principal Product Manager with a remit covering Sales and Marketing, Client Implementation and Regulatory Product Development. Murray has also regularly contributed across a number of industry events, including Goodacre, TISA and TSAM events in addition to AutoRek webinars and breakfast briefings.
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Includes Credits Includes a Live Web Event on 06/11/2025 at 1:00 PM (EDT)
Join us for an engaging webinar to explore the challenges and opportunities of navigating rapid growth of Alternatives in an increasingly complex market – across pre-trade, trade, and post-trade environments.
In this session, we’ll explore the challenges and opportunities of navigating rapid growth of Alternatives in an increasingly complex market – across pre-trade, trade, and post-trade environments. As client demand and advisor interest soar, the introduction of new entrants and evolving products has led to a fragmented and operationally fragile environment. Join us as we unpack the core operational and technological hurdles facing the industry today.
Learning Outcomes
• Identify key client/advisor onboarding, operational, and scalability challenges.
• Understand the risks posed by insufficient: onboarding experience, compliance controls, automation, and expertise.
• Explore how an integrated operational and technology solution can support growth while maintaining consistency and control.
• Evaluate when to outsource vs. building capabilities based on business needs.
• Learn how SS&C ALTSERVE BPO and ALTSERVE Connect can provide flexibility and stability during high-growth phases.Target Audience:
Asset and Wealth Management Professionals Focused on Alternatives
Financial Advisors and Client Relationship Professionals
Risk and Compliance Officers
Technology and Automation StrategistsThis program is sponsored by:
CPE Credits Redeemable with NASBA
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Specialized Knowledge (Technical)
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Traditional and Alternative Investments
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy
Jennifer Cho (Moderator)
Strategic Relationship Executive, SS&C Brokerage Solutions
Jennifer Cho is a seasoned financial services professional with over 20 years of industry experience. She joined SS&C as the Strategic Relationship Executive for Brokerage Solutions in February 2023, driving strategic growth and client success through delivering solutions aligned with client business strategies. Prior to joining SS&C, Jennifer held various roles at PIMCO, where she launched new products and services, led teams, and served on industry committees. Jennifer holds an undergraduate degree in economics and management from the University of California, Irvine. While she enjoys cultivating relationships and engaging in industry forums, her favorite pastime is spending time with her husband of 16 years, Charlie, and exploring the world through the eyes of their toddler, Celine.
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Includes Credits
Join us for an in-depth session exploring the evolving legal and regulatory frameworks shaping the adoption of Artificial Intelligence in asset and wealth management. This webinar will deliver a comprehensive overview of key compliance issues, data privacy concerns, and the regulatory landscape influencing AI integration. Gain actionable insights to help your organization navigate these challenges effectively, mitigate risks, and ensure alignment with evolving industry standards.
Join us for an in-depth session exploring the evolving legal and regulatory frameworks shaping the adoption of Artificial Intelligence in asset and wealth management. This webinar will deliver a comprehensive overview of key compliance issues, data privacy concerns, and the regulatory landscape influencing AI integration. Gain actionable insights to help your organization navigate these challenges effectively, mitigate risks, and ensure alignment with evolving industry standards.
Learning Outcomes:
- Understand the current regulatory landscape for AI in finance and its implications for asset and wealth management.
- Identify key data privacy and security considerations related to AI adoption.
- Learn practical strategies to address compliance challenges and manage risks in an AI-driven environment.
- Explore best practices for integrating AI while ensuring alignment with legal and regulatory requirements.Target Audience:
• Asset and Wealth Management Professionals
• Investment Managers and Analysts
• Compliance and Risk Management Professionals
• IT and Technology Leaders in Financial Services
• Business Strategists and Decision Makers
• Anyone interested in leveraging AI for business growth and efficiencyThis program is co-hosted by the Nicsa Webinar Working Group.
CPE Credits Redeemable with NASBA
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Regulatory Ethics
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Governance and Regulations
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy
Pam Gelormini
Occupation Director of Compliance
MFS Investment Management
Pam Gelormini is a Vice President, Director of Compliance and Privacy Officer of MFS Investment Management® (MFS®). She is responsible for MFS' employee conduct, US Funds and Advisor compliance programs, privacy and records management programs, compliance education, regulatory exam oversight and the development of compliance monitoring and testing plans. Pam has over twenty-six years professional experience at MFS working in roles within corporate insurance, risk management and compliance, assisting with the design and implementation of various compliance and risk management programs. Pam received a Bachelor of Science degree in Business Administration with a concentration in Finance from Sacred Heart University. She is also a Certified Information Privacy Professional in the US (CIPP/US) with the International Association of Privacy Professionals.
Rosa Licea-Mailloux (Moderator)
Head of Compliance Americas; Chief Compliance Officer - MFS Funds
MFS Investment Management
Rosa Licea‐Mailloux is a vice president and head of compliance, Americas, at MFS Investment Management® (MFS®). She is also the chief compliance officer of the MFS Funds. In this role, she oversees all aspects of compliance for MFS investment products distributed throughout the Americas, collaborating with various groups across MFS to ensure all regulatory requirements are met and adhered to across the firm's various distribution channels.
Rosa joined MFS in 2018 as a director of corporate compliance and was named to her current role in 2022. Previously, she worked at Natixis Investment Managers for over 14 years, holding several roles in the firm’s legal and compliance groups, including chief compliance officer for the Loomis
Sayles Funds, Natixis Funds and Natixis ETFs and senior vice president and deputy general counsel for Natixis Investment Managers – US Distribution. She began her career in financial services in 2001 as a compliance specialist with Putnam Investments.
Rosa earned Bachelor of Arts degrees in biology and economics from Boston University, a Juris Doctor degree from the Northeastern University School of Law, and an MBA from UNC Kenan-Flagler Business School. She is an adjunct professor of financial sector compliance at New England Law | Boston.Joanne Kane
Chief Compliance Officer, SS&C, GIDS, US
Joanne Kane is the Chief Compliance Officer for SS&C’s Global Investor and Distribution Solutions Division (GIDS), US. Ms. Kane joined SS&C in May of 2023 and is responsible for the full range of compliance initiatives and issues related to 40’ Act mutual funds, alternative investments, retirement plans, and SS&C’s asset management clients.
Ms. Kane has over 35 years of experience in the financial services industry, including extensive knowledge of transfer agency and compliance as well as various Securities and Exchange Commission regulations pertaining to asset managers. Prior to joining SS&C, Ms. Kane served as Chief Industry Operations Officer for the Investment Company Institute where she spent almost 10 years. Earlier in her career, she held various senior positions including as Vice President of Transfer Agent Governance and Administration for Columbia Management Investors Services, Corp. and as Assistant Vice President of Transfer Agent Compliance with IXIS Asset Management Services. Ms. Kane graduated Magna Cum Laude from Providence College with a BS degree in finance.
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Join Nicsa for a comprehensive webinar series that explores how AI is revolutionizing the financial services industry, from foundational concepts like AI and generative AI to practical applications in product distribution, investment strategies, portfolio management, and legal considerations. Gain valuable insights into the latest AI trends, real-world applications, and strategic approaches essential for success in an evolving financial landscape.
This webinar series is designed to provide our community with a comprehensive understanding of how AI is transforming the financial services industry. It will cover a range of topics, starting with an introduction to AI and generative AI, followed by sessions on practical applications in product and distribution, AI in investment strategies and portfolio management, legal and regulatory considerations, and more. Attendees will gain insights into the latest AI trends, practical applications, and strategic considerations necessary to thrive in a rapidly evolving financial landscape.
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Includes Credits
Employee Resource Groups (ERGs) play a pivotal role in shaping corporate culture by fostering a sense of belonging, driving employee engagement, and supporting diversity, equity, and inclusion (DEI) initiatives. In this insightful panel discussion, Industry Leaders will share firsthand experiences and best practices for leveraging ERGs to create a more inclusive and dynamic workplace. Attendees will gain practical strategies to enhance employee retention, leadership development, and organizational cohesion through ERG initiatives.
Employee Resource Groups (ERGs) play a pivotal role in shaping corporate culture by fostering a sense of belonging, driving employee engagement, and supporting diversity, equity, and inclusion (DEI) initiatives. In this insightful panel discussion, Industry Leaders will share firsthand experiences and best practices for leveraging ERGs to create a more inclusive and dynamic workplace. Attendees will gain practical strategies to enhance employee retention, leadership development, and organizational cohesion through ERG initiatives.
Learning Outcomes:
By attending this webinar, participants will be able to:
• Understand the strategic role of ERGs in building an inclusive workplace culture that enhances employee satisfaction and retention.
• Explore the power of belonging—how ERGs create community beyond job roles, leading to stronger employee engagement and performance.
• Recognize ERGs as leadership incubators that provide opportunities for professional growth, mentorship, and volunteerism, helping employees showcase their skills and potential.
• Gain actionable insights on launching, managing, or expanding ERGs to align with corporate values and business objectives.This program is sponsored by Diversity Project North America's Metrics & Insights Committee:
CPE INFORMATION:
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Personnel/Human Resources – Non-technical
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Supplemental - Leadership Programs
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy
Michael Kaneva
Director, Inclusion and Organizational Effectiveness
OPTrust
Michael Kaneva is the Director of Inclusion and Organizational Effectiveness at OPTrust. Over the past 25 years, he has worked across Canada in roles dedicated to organizational culture and development. Having worked in a broad spectrum of organizations from blue chip to governments, he has specifically focused on inclusion, diversity and equity as his career focus. A member of the 2SLGBTQAI+ community, someone living with a disability and a stalwart supporter of newcomers to Canada, Michael is dedicated to bringing meaningful and positive change in practical business solutions and addressing the issues of discrimination, racism, and unconscious biases.
Sonya Rorie, CFA (Moderator)
Deputy Chief Diversity Officer
Allspring Global Investments
Sonya Rorie is the deputy chief diversity officer at Allspring Global Investments. In this role, she works with the Chief Diversity Officer to improve Allspring’s internal culture and develop external strategies to encourage equal opportunity in diverse communities. Sonya joined Allspring from its predecessor firm, Wells Fargo Asset Management (WFAM). Prior to her current role, Sonya was a client relations director for the Institutional Client Group covering the Southeast region. She joined WFAM from Evergreen Investments, where she began her investment industry career in 2003. Prior to this, Sonya served as a senior auditor for Transamerica and KPMG. She earned a bachelor’s degree in accounting from the University of North Carolina at Charlotte. She is a certified public accountant and has earned the right to use the Chartered Financial Analyst® (CFA®) designation. Sonya is a member of CFA Society North Carolina and CFA Institute.
Anthony Almanzar
Vice President & Latin America Accounting Product Lead
State Street Corporation
Anthony joined State Street in 2015 as an Information Security Risk Analyst and more recently held a variety of roles in Identify & Access Management as a Business Analyst, Data Analyst, Solutions Analyst within Corporate Information Security and Business Risk Intelligence and Operations Manager for State Street Global Markets, and most recently a Senior Program Manager for State Street Global Advisors. Anthony is currently the Accounting product lead for Latin America. He is responsible for driving Accounting Product strategy for the Latin America region and organizational growth within the emerging region.
Prior to joining State Street, Anthony has worked as a Forecasting Analyst and Product Development in Italy for various boutique firms. During that time, he was focusing on Fixed Income research, quantitative modeling, tactical benchmark solutions, and portfolio construction for the clients he served. Additionally, Anthony managed the transformation efforts around operational efficiency and process automation.
Anthony has a Master’s in Business Analytics and Consulting from IESEG School of Management in Paris. He has earned a Bachelor’s degree in Finance and Accounting Management from Northeastern University and is actively seeking a Professional Masters in Data Analytics from Northeastern University.
Anthony is the former Chair of the Latin American Professionals Network (LAPN), which a nationally recognized employees resource group (ERG) at State Street. Under his leadership LAPN has received a number of national-level awards for their impact and contribution to advancing Diversity, Equity, and Inclusion (DEI). Anthony represents State Street in various external engagements and professional conventions. He is currently the interim Co-Chair of the Asian Professional Network (APN).
He is currently an active workstream member of Action #8 from the 10 Actions Against Racial & Inequality. Anthony is an advisory board member for Fisher College and the Boston Chapter of TecHire. Additionally, Anthony is a recipient of the 2022 Young Hispanic Corporate Achievers Awards by the Hispanic Association on Corporate Responsibility (HACR). In 2023 Anthony served as the Director of Financial Literacy for the Boston chapter of the Association of Latino Professionals for America (ALPFA). In 2023, he was recognized by the LAPN with Excellence in Leadership Award and with the Emerging Leader Nova Award by NICSA. In 2024 Anthony was appointed as a member of the CEO Advisory Council of the DEI Project for NICSA representing State Street Corporation.
Abu Toppin
Compliance Business Partner
MFS Investment Management
Twenty plus years of Legal and Compliance experience in the Financial Services industry. Exceptional change agent with the ability to provide quality advice, guidance and support. Reputation for increasing engagement across departments, community and business partners, complemented by excellent presentation skills and a collaborative leadership style to foster critical partnerships and definitive decision making. Highly skilled change agent and leader who can collaborate with others to inspire and support an inclusion and diversity strategy through every part of an organization.
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Join us for an engaging discussion on the practical applications of AI and discover how your organization can leverage these advancements for sustained operational excellence.
Artificial Intelligence (AI) is revolutionizing back-office operations, enhancing efficiency, accuracy, and scalability in ways previously unimaginable. This webinar will explore actionable and realistic AI-driven strategies that streamline data processing, improve risk management, and optimize operational workflows. Our expert panel will delve into real-world use cases, providing valuable insights into how AI is reshaping the back office and driving business transformation.
Join us for an engaging discussion on the practical applications of AI and discover how your organization can leverage these advancements for sustained operational excellence.
Learning Outcomes:
By the end of this webinar, participants will be able to:
- Understand AI Use Cases: Understand how AI is currently impacting back-office operations and its evolving role in financial services.
- Enhance Operational Efficiencies: Learn how to leverage AI to improve speed, accuracy, and cost-efficiency in daily operations.
- Plan for Scalability: Gain insights into building an AI-powered, future-proof operating model for sustained growth in investment management.Target Audience:
The target audience for the webinar includes:
Financial Services Professionals, Operations and Back-Office Teams, Compliance and Risk Management Professionals, Technology and Innovation Leaders, Fund Administration and Custodian Bank Professionals, C-Suite and Decision-Makers, AI and Data Science Experts in Financial Services, CPAs and Other CPE Credit Seekers
This program is co-hosted by GFT.
CPE Credits Redeemable with NASBA
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Information Technology – Technical
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Wealth Management: Risk Management and Asset Protection
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy
Eugene Klechevsky (Moderator)
Client Unit Director, GFT
Eugene Klechevsky is a Client Unit Director for Asset Management at GFT. With over 20 years of experience, Eugene specializes in account management for private equity clients, building and maintaining key relationships and ensuring alignment with client needs. He manages partnerships and guides clients through complex fund structures, reporting and data challenges using platforms like LemonEdge, Investran, Dynamo and Salesforce. Supported by a global team of over 12,000 experts, Eugene ensures seamless delivery of solutions such as automation, integration, reporting by leveraging both onshore and nearshore resources for optimal client outcomes.
Brian Gauvain
Director Fund Services Product, Citi
Brian joined Citi in September 2022 as a Director within the Fund Services Operations Team. Brian brings over 25 years of Fund Services, ETF industry and market experience. Brian is responsible for Global Fund Accounting Operations and ETF Services. Brian is also responsible for driving improvements around the global accounting model.
He joins from J.P. Morgan where he was the Global Head of ETF Services and US Accounting. Brian in his past roles focused on improving the accounting and ETF products with the growing industry, optimizing/improving daily operations and building scale within the daily fund services model.
Brian earned a B.S. in finance at Salem State University.
Christoph Krey
Global Client Service Executive Director, JP Morgan
Christoph Krey is an Executive Director at JPMorgan Chase, specializing in Global Client Service & Solutions with over 19 years of experience in financial services. He oversees global asset manager relationships across all products and services within the Securities Services department. His primary responsibilities include ensuring client satisfaction with JPMorgan Chase as a trusted strategic partner, driving continuous improvement, consulting on industry standards versus bespoke methods, and providing scalable, cost-effective solutions. Christoph has managed teams in Operations, Technology, Product, and Client Service. Before joining JPMorgan Chase, he worked at Brown Brothers Harriman.
Kaushal Sheth
Chief Architect Officer, GFT Technologies
Kaushal is the Chief Architect for GFT Americas. He has over 28 years in building solutions across the U.S., E.U. and Latin America for Banks and Capital Markets. Kaushal co-founded Sophos Solutions, a leader in financial technology solutions in Latin America, where it was recently
acquired by GFT. He is a graduate of NIIT and GMP Harvard Business School. Kaushal co-founded many other startups such as Deepmoney.ai and Brain.studio, advises to multiple Fintechs, is a board member of Technology and Fintech companies PTM Commercial Card and ITR Machines. He is a leading expert in emerging Computational Neuroscience field and focused on a mission to build next generation of intelligent machines.
Mike Srdanovic
Chief AI Architect, Northern Trust
Mike is the Chief AI Architect for Northern Trust focused on Data Science and Emerging Technologies. His role encompasses working with Business executives and leader to promote innovation and digital transformation encompassing AI and other emerging technologies as well as setting standards, patterns and tools selection for the bank.
Mike has been with Northern Trust for over 20 years in various leadership roles. Prior to joining Northern Trust he participated in several software startups. He received his BSEE undergraduate degree from Lakehead university and his MSEE graduate degree from the University of Windsor.
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Join us for an insightful webinar to explore the evolving landscape of semi-liquid alternative fund investments, a rapidly growing segment that blends attributes of both mutual funds and alternative investments.
Join us for an insightful webinar to explore the evolving landscape of semi-liquid alternative fund investments, a rapidly growing segment that blends attributes of both mutual funds and alternative investments.
Our panel of industry leaders will provide deep insights into hybrid funds that combine key features of mutual funds and alternative investments, highlighting why these innovative structures are gaining traction among specific investor segments. Additionally, we'll explore emerging trends and future developments shaping this dynamic investment landscape.
We will discuss key product characteristics, investor considerations, regulatory requirements, and anticipated developments in the market. The session will conclude with a live Q&A, allowing attendees to engage directly with our panelists.
Learning Outcomes:
By the end of this webinar, participants will:
- Gain a comprehensive understanding of semi-liquid alternative fund structures and their investment attributes.
- Explore why these hybrid products are gaining traction and the types of investors they are best suited for.
- Identify potential risks, liquidity considerations, and regulatory requirements associated with these investments.
- Examine real-world examples of semi-liquid alternative investment strategies and discuss emerging trends in the space.
Target audience:
This webinar is designed for professionals in the financial services industry, offering diverse perspectives from:
- Asset managers overseeing alternative investments.
- Investment consultants advising institutional and high-net-worth investors.
- Investment recordkeeping system and service providers supporting fund operations.
This program is sponsored by FIS:
FIS is a financial technology company providing solutions to financial institutions, businesses, and developers. We unlock financial technology to the world across the money lifecycle underpinning the world’s financial system. Our people are dedicated to advancing the way the world pays, banks and invests, by helping our clients to confidently run, grow, and protect their businesses. Our expertise comes from decades of experience helping financial institutions and businesses of all sizes adapt to meet the needs of their customers by harnessing where reliability meets innovation in financial technology. Headquartered in Jacksonville, Florida, FIS is a member of the Fortune 500® and the Standard & Poor’s 500® Index. To learn more, visit FISglobal.com. Follow FIS on LinkedIn, Facebook and X.
CPE Credits Redeemable with NASBA
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Finance
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Traditional and Alternative Investments
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org.
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy.
Mike Melles (Moderator)
Senior Director, FIS Transfer Agency Solutions
Mike is a Senior Director at FIS and is Head of Product Management. Mike has over 30 years’ experience in global transfer agency. In his current role, Mike is responsible for monitoring industry trends, regulations and consult with clients to determine the important updates required with the software and services we provide to many leading organizations in the financial services industry. Mike also serves on the Investment Company Institute’s Broker-Dealer Advisory Committee and the Board of Directors of the Nicsa organization. Mike holds a Bachelor of Business Administration degree from the University of Iowa and an MBA from University of St. Mary’s University.
Greg Mino
SVP, Northern Trust
Greg joined Northern Trust Asset Servicing, Global Fund Services in 2020. He is a SVP and business manager with a focus on U.S. registered funds and the Series Trust product lines. Greg is Vice President/Officer of the Advisers Investment Trust and Datum One Series Trust®.
Previously, Greg held senior positions at firms including Nuveen Investments, UBS Global Asset Management and Merrill Lynch Investment Managers over his 30-year investment services career.
Cian Hyland
Solution Manager, FIS
Xinhao Sun
Director. PwC
Xinhao Sun is an Audit Director in PwC's Asset and Wealth Management (AWM) practice, with over 13 years of experience serving a diverse range of asset management clients across both registered and unregistered funds. He leads multiple AWM sector workstreams nationally, supporting teams and clients in the semi-liquid funds space, specializing in business development companies, interval funds, and tender offer funds. Xinhao holds a master’s degree in Professional Accounting from the University of Texas at Austin.
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Join Nicsa for an insightful session on the growing importance of sustainable investment funds and their incorporation of ESG (environmental, social and governance) factors in the global investment landscape, with a special focus on Luxembourg’s pivotal role in this space.
Join us for an insightful session on the growing importance of sustainable investment funds and their incorporation of ESG (environmental, social and governance) factors in the global investment landscape, with a special focus on Luxembourg’s pivotal role in this space. This webinar will explore recent developments for ESG funds and how they can align with international standards or regulatory frameworks, including the Corporate Sustainability Reporting Directive (CSRD).
Our expert panel will share trends driving ESG fund adoption, and highlight real-world success. Gain valuable insights to help position your firm for success in the fast-evolving ESG ecosystem.
Learning Outcomes
-Understand Luxembourg’s leadership in the ESG fund space and recent developments of the sustainable finance framework
-Explore trends in ESG investing
-Gain practical insights on challenges regarding CSRD compliance and their implications for ESG fund management
-Discover proposals to enhance ESG fund adoption and drive sustainable investment growth
Target audience
Professionals within the global asset management and investment fund industry, including in the private assets space, focused on Fund and Investment Compliance, Fund Accounting, Risk Management, Portfolio Management, Operations, and Legal
This program is sponsored by:
CPE INFORMATION:
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Specialized Knowledge
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Wealth Management
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy
Denise Voss (Moderator)
Chairwoman
LuxFLAG
Denise Voss is a Non-Executive Director and Chairwoman of flagship funds of major fund promoters.
Denise has worked in the financial industry in Luxembourg since 1990. She retired from Franklin Templeton in 2020 after 25 years, where she was a Conducting Officer and Director of Franklin Templeton’s Luxembourg management company. Prior to that she worked for 10 years at Coopers & Lybrand in Boston, USA and Luxembourg. She obtained a BA from Tufts University, and an MSc in accountancy from Bentley University. Ms Voss is currently Chairwoman of LuxFLAG, an agency supporting the financing of sustainable development and a board member of Accelerating Impact Finance Luxembourg. She is also Chairwoman of the EFAMA Investor Education Platform, was Chairwoman of ALFI from 2015-2019, a member of the ALFI board from 2007-2019 and is currently a member of the ALFI Strategic Board.
Thomas Goericke
Partner
Elvinger Hoss
Tom Göricke’s practice focuses on collective asset management and investment funds with a specific focus on rules regarding sustainable finance and ESG. Tom advises clients on the set-up and structuring of their Luxembourg investment fund operations as well as on regulatory matters. He leads the firm’s sustainable finance task force and actively participates in various industry association working groups on this subject. Prior to joining the firm, Tom trained as a solicitor of England and Wales. Member of the British Chamber of Commerce legal group. Chairman of the ALFI Responsible Investing Committee working group H1 – (SC) RI Legal and Policy. Member of ALFI working groups on sustainable finance. Member of the Luxembourg Bar since 2010. Member of the Law Society of England and Wales since 2009. Solicitor of England and Wales since 2009.
Agathi Pafili
Vice President, Head of Government Relations
Capital Group
Agathi Pafili is Vice President at Capital Group and is head of Europe government and regulatory affaits. She has 21 years of policy and industry experience and has been with Capital Group for over 5 years. Prior to joining Capital, Agathi was a senior policy advisor at the European Funds and Asset Management Association. Before that, she worked in the European Parliament as policy advisor fand head of office for Members of the Economic and Monetary Affairs Committee. She holds a master's degree in international and European law and is a member of the Athens Bar Association. Agathi is based in Brussels.
Désirée Doenges
Senior Vice President Legal
ALFI
Désirée Doenges joined ALFI’s legal department in January 2020. She holds a German degree in law with a specialisation in administrative law and a diploma in Luxembourg taxation. At ALFI, she handles files on regulatory and legal issues and is involved in the work of the association’s technical committees. In particular, Désirée is coordinator of ALFI’s responsible investing working groups.
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Join us for an engaging webinar to explore the transformative impact of AI in enhancing productivity and streamlining operations within the wealth and asset management industry. Featuring real-world case studies and insights from industry leaders, attendees will discover practical strategies for leveraging AI to improve decision-making, client engagement, and operational efficiency. The discussion will also address key aspects of AI governance and ethics, providing actionable advice for overcoming implementation challenges and achieving sustainable success.
This webinar delves into the transformative power of AI in the wealth and asset management industry, focusing on its ability to improve productivity and streamline operations. Featuring insights from industry leaders, this session highlights real-world applications of AI and showcases how these firms have successfully leveraged the technology to enhance decision-making and client engagement.
The discussion will also address critical considerations for AI governance and ethics, offering practical advice on overcoming common implementation challenges. Attendees will gain actionable insights on developing and deploying AI programs effectively, ensuring sustainable success in today’s competitive landscape.
Learning Outcomes:
• Gain a clear understanding of how AI is being used to transform operations in wealth and asset management firms.
• Learn from real-world case studies on AI implementation, including strategies that improve productivity and client engagement.
• Identify common challenges in AI adoption and discover practical solutions for overcoming these obstacles.
• Explore critical aspects of AI governance and ethical considerations for sustainable and responsible implementation.
• Walk away with actionable steps to design and implement a successful AI program that aligns with their organizational goals.Target Audience:
This webinar is specifically designed for professionals in the asset and wealth management industry who have pressing questions about effectively leveraging AI. Whether you're interested in exploring real-world AI use cases, understanding the key components of a successful AI project, or learning the essential steps for launching AI-driven initiatives, this session will provide the expert insights and actionable strategies you need.
• Asset and Wealth Management Professionals
• Investment Managers and Analysts
• Compliance and Risk Management Professionals
• IT and Technology Leaders in Financial Services
• Business Strategists and Decision Makers
• Anyone interested in leveraging AI for business growth and efficiencyThis program is sponsored by:
CPE Credits Redeemable with NASBA
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Information Technology
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Technical Investment Management
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy
Joseph Lo
Head of Enterprise Platforms, Broadridge
Joseph Lo, Head of Enterprise Platforms at Broadridge, leads the firm’s platform and innovation initiatives. A technologist by trade with a background in software engineering, Joseph advances Broadridge’s global software platforms to accelerate transformation in corporate governance, capital markets, as well as wealth and investment management.
Joseph is a co-creator of BondGPT, the fixed income industry’s first generative AI platform that reduces hours of manual work into a matter of minutes, and unlocks trillions of dollars of liquidity in the process. He also holds a patent for a machine learning algorithm. Joseph leads Broadridge’s initiative to rapidly scale the use of generative AI capabilities internally and externally.
Joseph brings two decades of software and product development experience at financial technology companies to create innovative technology-based solutions to solve client challenges in financial services. He also serves as Broadridge’s Global Co-Chair of Lead for Next, an employee resource group where early career professionals can thrive professionally and build bridges across generational divides
Manish Worlikar
Head of FI Artificial Intelligence CoE
Fidelity Investments
Manish Worlikar will be representing this event in a personal capacity as an AI Leader and will not be representing Fidelity.
Manish Worlikar is a seasoned technology and finance professional with over 25 years of experience managing global teams. He currently Heads the Center of Excellence (CoE) for Artificial Intelligence, Data Science, and Advanced Analytics at Fidelity Institutional, a division of Fidelity Investments.
Cindy Schreiner
Managing Director & Head of US Wealth Management Operations
RBC Wealth Management
Cindy brings more than 30 years of financial services industry experience to her current role as Head of Operations, Transformation, and Key Strategic Partner Relationships at RBC Wealth Management – U.S. In this role, Cindy leads the firm’s efforts to simplify, optimize, and digitize its operational capabilities for clients and advisors, as well as drives scale, efficiency, and quality-focused outcomes through technology in her Key Strategic Partner Relationships work.
Prior to joining RBC Wealth Management – U.S. in 2021, Cindy held several Chief Operating Officer and Executive roles, including Executive Officer of the Private Bank at Morgan Stanley and Managing Director and Head of Global Wealth Management Product Operations at Morgan Stanley, where she led teams that focused on alternative investments, annuities, client reporting, global banking, insurance, lending, managed accounts, managed futures, money market, mutual funds, performance reporting, personal trust, retirement plan services, and unit investment trusts.
Cindy is a member of SIFMA’s Operations & Technology Committee, Operations Roundtable and Red Group. Previously, she was a member of DTCC’s Wealth Management Senior Advisory Board and Executive Forum, and the Insurance and Retirement Senior Advisory Board. She was also actively involved in the Managed Money Institute Operations Standards Committee and served on the National Investment Company Services Association’s Board of Directors. Cindy has also led initiatives on several of SIFMA’s committees, including ACATS, Buy Side, Corporate Actions, STP, and T+1. Additionally, Cindy served on ICI’s Mutual Fund Broker Dealer Advisory Committee and helped build an Industry Model for Bank Mutual Fund processing through DTCC.
Cindy attended Indiana State University, completed Yale School of Business Executive MBA Series, and holds FINRA SER 27 and SER 99 licenses.RBC Wealth Management, a division of RBC Capital Markets, LLC, Member NYSE/FINRA/SIPC.
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Join us for an insightful webinar designed specifically for US Asset Managers exploring opportunities in the European market.
This webinar is tailored for US Asset Managers who want to have a better understanding of the fund-raising opportunities that European investment platforms provide, or considering investing through or in Europe for the first time. Whether you’re new to European investment platforms or looking to deepen your understanding, this session will provide a comprehensive introduction to Europe’s two leading jurisdictions for investment funds: Ireland and Luxembourg.
A panel of PwC experts will guide you through the essential regulatory, tax, and commercial considerations, offering practical insights into structuring investments, overcoming common challenges, and successfully operating on European platforms.
Learning Outcomes:
By the end of this webinar, participants will:
* Benefit from an insightful introduction to the two favored European jurisdictions for investment funds: Ireland and Luxembourg.* Gain an understanding of the most important pan-European considerations relevant to fund raising and ongoing platform operation.
* Learn the key regulatory, tax, and operational considerations for fundraising and platform management in Europe.
* Explore common investment structures and identify solutions to address challenges unique to the European market.
* Receive practical insights into the nuances of each jurisdiction to effectively access and navigate European capital markets.
This session equips US Asset Managers with the foundational tools and knowledge to confidently evaluate and enter Europe’s investment landscape.
This program is sponsored by:
CPE Credits Redeemable with NASBA
Nicsa is pleased to offer this webinar learning activity to attendees who are seeking CPE credits. 1 CPE unit may be available for attendees of this webinar. The webinar requires no advanced preparation, no pre-requisite study and is appropriate for all who have a basic understanding of the investment management industry.
Nicsa is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.learningmarket.org.
CPEs Earned: 1
CPE Field of Study: Specialized Knowledge
Program Level: Basic
Delivery Method: Group-Internet Based
Advanced Preparation: None
CE Credits Redeemable with Investments & Wealth Institute™ (IWI)
Nicsa is a registered sponsor with the Investments & Wealth Institute™ (IWI) for continuing education credits applicable to CIMA®, CPWA®, RMA®, and CIMC® certifications. This 60-minute webinar has been pre-approved by IWI for 1 CE credit.
To redeem your CE credit, you must self-report your participation by visiting the Investments & Wealth Institute™ website: https://investmentsandwealth.org. Following the conclusion of the webinar, please enter the program date, program ID, program title, and Nicsa as the sponsoring organization. Nicsa will not report your participation on your behalf.
The Investments & Wealth Institute™ has final authority on the acceptance of individual courses for CE credit. If you have any concerns or complaints regarding registered sponsors, you may submit them via the IWI website: https://investmentsandwealth.org/contact-us.
CPEs Earned: 1
Continuing Education Topic: Wealth Management
Program Format: Live Webinar
CANCELLATIONS AND REFUNDS: Due to this program being offered free of charge, there will be no refunds issued. Questions or Cancellations: Please contact Lilly Bahmani at info@nicsa.org.
Please note by registering for this webinar, you are consenting to Nicsa sharing your information with the sponsor of this webinar, who may subsequently contact you. You may unsubscribe from these communications at any time. For more information, check out our Privacy Policy.
Declan Byrne (Moderator)
Asset & Wealth Management Global Assurance Leader
PwC
Declan is the PwC’s Asset & Wealth Management Global Assurance leader based in Boston and serves on the NICSA International Committee. Declan works closely with his clients on issues such as complex valuations, internal controls, global best practices and financial reporting. Declan is an industry thought leader. Recent publications Declan has been responsible for include “Mutual Fund 2030 - Rising Expectations”, “Current developments for the Mutual Fund industry” and the “Mutual Fund Directors Governance Survey”. Globally he helped produce the recently published “AWM Revolutions 2024” paper. Has extensive global experience having worked in Dublin, New York, Tokyo and Boston.
Laura McKeown
International Tax Partner
PwC Ireland Asset and Wealth Management
Laura is an international tax partner in the PwC Ireland Asset and Wealth Management tax practice.
Laura has a broad range of experience across the financial services sector and advises private equity funds, hedge funds, sovereign wealth funds and pension funds on international tax structuring projects. Laura regularly advises on the taxation implications of cross-border investment using all forms of Irish investment platforms including both regulated and unregulated fund and limited partnership structures. She also advises international clients on the tax efficiency of their corporate and management group structures.
Laura is the PwC Ireland Financial Services tax policy leader. She is an active member of the Irish Debt Securitisation Association tax working group, the Irish Funds ELTIF working group and the Invest Europe Tax Committee.
Laura is a qualified Chartered Accountant with the Institute of Chartered Accountants in Ireland and a member of the Irish Taxation Institute.
Sean Reid
Tax Director
PwC
Sean is the Tax Director leading PwC’s Irish Tax Desk in New York. Sean is on assignment from PwC Ireland where he works as an International Tax Director assisting clients on a broad range of international tax and related matters.
Sean has significant experience advising US, Irish and other multinational companies across a wide variety of industries. Sean’s particular areas of expertise include international cross border structuring for inbound and outbound investment, large corporate reorganizations, international asset holding structures, treasury optimization and debt structuring.
Sean has experience working on M&A transactions and assisting clients navigate domestic and international tax changes.
Sean holds a degree in Law and a postgraduate diploma in Accounting. Sean is an associate of the Institute of Chartered Accountants in Ireland and is a Chartered Tax Adviser and member of the Irish Tax Institute.
Stéphane Rinkin
Tax Partner
PwC
Stéphane is a Luxembourg tax partner currently seconded to PwC US where he is focusing on developing our key AWM clients globally around Managed services and CTC.
Stéphane has led several Tax Managed Services engagements bringing technological solutions to clients (covering in particular accounting, tax reporting, corporate secretary and other regulatory reporting). Stéphane specialises in the design, development and delivery of business solutions with optimised tax approaches/strategies encompassing both local and international issues.
He has been instrumental in building and delivering certain of our key service propositions in Luxembourg and EMEA to the Alternative Fund industry.
Stéphane was previously also in charge of the VAT compliance department of PwC Luxembourg (where approximately 15,000 VAT returns are produced every year) and the PwC Luxembourg VAT leader for the Real Estate industry. He was also the innovation leader for PwC Luxembourg.
Stéphane began his career at PwC Luxembourg in 2001. After years of gathering expertise, he moved to PwC Switzerland as leader of the Romandie Indirect Tax practice. He completed a three years term as Tax partner for EY China (Shanghai) before coming back to PwC Luxembourg in 2016, transforming the way the VAT compliance team operates, dramatically boosting its efficiency and profitability.
He has a law degree and a LLM in tax law from University of Liège (Belgium) and is a certified tax expert in Luxembourg.
Stephane regularly publishes articles and speaks at industry and tax seminars.
Mathieu Scodellaro
Principal - Head of Investment Funds Practice
PwC Legal Luxembourg
Mathieu is the head of the Investment Funds Practice and specializes in issues concerning investment funds, fund managers and the various service providers. Over the last 20 vears, Mathieu has assisted numerous international clients in the setting-up, (re)structuring and handling of their organization or projects. He regularly advises his clients on regulatory issues and in their relationships with the regulatory authorities.
He has been involved in the creation of a large number of regulated and unregulated investment funds from plain vanilla UCITS to investment funds investing in illiquid assets (private equity, debt funds, real assets, insurance-linked assets…), with complex investment strategies or with innovative features. His involvement included the structuring of the products, the drafting of the offering documentation, the negotiations with the service providers, potential investors and lenders, the communication with the regulator., etc. He has assisted his clients in the development of their products and dealing with special events (restructuring, liquidation…) impacting their funds.
He has also assisted a number of depositary banks and managers in their strategic or regulatory restructuring and dealing with new regulations impacting their businesses or the funds they are servicing.
With the increasing regulatory scrutiny, he has also assisted clients facing queries or investigations from the regulator.-
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