Rebecca Amissah
Rebecca Amissah joined Aflac Global Investments in 2014 and is the Chief Compliance Officer and is responsible for oversight of the compliance program and the internal processes for promoting and ensuring Aflac Global Investments compliance with applicable laws globally. Her responsibilities include co-chairing Aflac Global Investments Compliance & Ethics Committee which oversees its compliance risk management program. She is also responsible for formulating and implementing Aflac's investment compliance program. Prior to joining Aflac Global Investments, Rebecca served as the Assistant Vice President & Counsel for John Hancock Life Insurance Company where she served as in-house counsel and was responsible for the Investment Advisory Compliance Testing Program and the Code of Ethics Program respectively. Prior to John Hancock, Rebecca was responsible for the Code of Ethics program at TIAA and Royal Bank of Scotland. Rebecca’s academic background includes a B.A. in Math for Binghamton University and a J.D. from St. John’s University of Law. About Aflac Global Investments Aflac Global Investments refers to Aflac Asset Management LLC and Aflac Asset Management Japan Ltd., which are the asset management subsidiaries of Aflac Incorporated. Aflac Global Investments is responsible for managing the invested assets of Aflac Incorporated's insurance subsidiaries in Japan and the U.S. At the end of 2020, Aflac Global Investments managed more than $140 billion in general account assets and had 125 investment and support professionals who work at its offices in New York and Tokyo. About Aflac Incorporated Aflac Incorporated (NYSE: AFL) is a Fortune 500 company, helping provide protection to more than 50 million people through its subsidiaries in Japan and the U.S., where it is a leading supplemental insurer by paying cash fast when policyholders get sick or injured.
6g. PF - Private Fund Investor Quarterly Reporting Requirements (Intermediate - CLOSED)