Fund Board Reporting

Assembles the periodic compliance and risk pack delivered to the board of a registered investment company (mutual fund, ETF, closed-end fund, BDC) and its independent trustees. The pack covers the chief compliance officer's annual written report on the fund and service-provider compliance programs, the advisory contract approval and renewal package built on the §15(c) factor analysis, the standing compliance and risk reporting cadence (material compliance matters, valuation oversight, liquidity program reporting, derivatives risk reporting, affiliated-transactions and soft-dollar / brokerage disclosures), and the per-service-provider compliance program assessment for the adviser, sub-advisers, transfer agent, custodian, fund accountant, distributor, principal underwriter, valuation designee, and pricing services. The deliverable is a board-presentation deck plus a Word annex carrying the §15(c) and Rule 38a-1 written content the board minutes record consumes. Best for: - A fund chief compliance officer is pre

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