Eugenie Warner
Eugenie strategizes with investment advisers' chief compliance officers, compliance departments, legal officers, and senior executives to comply with the laws and regulations enforced by the Securities and Exchange Commission. In addition to her legal experiences as a litigator in AM LAW 100 firms, Eugenie has been a Chief Compliance Officer at a venture capital and private equity adviser and, for the past decade, an industry professional at a top-tier compliance consulting firm. Her work has included conducting mock SEC exams, annual reviews, risk assessments, and trainings; Independence Compliance Consultant remediation and reporting; Compliance Program development and testing; Enterprise Risk Management guidance; and SEC examination and investigation resolution. Representative clients have included institutional, private equity, real estate, venture capital. and hedge fund advisers, with assets under management between $75 million and $85 billion. Eugenie has recently joined the law firm of Ropes & Gray LLP as a Senior Attorney in the Asset Management Group.