MFA Legal & Compliance returns to New York this spring, convening regulators, policy leaders and industry practitioners for a day of open dialogue, knowledge sharing, and practical problem-solving. Designed for general counsels, chief compliance officers, and regulatory affairs executives, the program provides the clarity and preparedness needed to navigate the industry’s transformation.
Join us at the premier legal and compliance forum, where 400+ leaders from hedge funds, private credit, and other alternative investment firms engage in strategic insights, practical guidance, and peer-to-peer dialogue. If you oversee regulatory risk, advise investment teams, or drive your firm’s compliance program, you’ll leave better prepared for what’s ahead.
What to expect:
Direct conversations with regulators: Hear directly from the agencies shaping rulemaking and enforcement—what’s changing, why and how to prepare.
Actionable expertise: Gain practical strategies from top legal and compliance leaders translating evolving regulation into real-world solutions.
Peer-level exchange: Join candid discussions with fellow general counsels and compliance executives on shared challenges, risks, and operational opportunities.
Programming for decision-makers: Access a curated, multi-track agenda developed with MFA’s regulatory team and an esteemed advisory council.
MFA applies for CLE and CPE credits for all qualifying sessions, ensuring you stay up to date with your continuing education. Qualifying sessions are designed for experienced attorneys, assuming familiarity with foundational legal concepts and offering the most benefit to those who have practiced law for several years.