Chief Compliance Officer
Timothy Knierim is an Executive Director and Deputy Chief Compliance Officer for Morgan Stanley Investment Management. He is the Chief Compliance Officer for Morgan Stanley AIP GP LP. Prior to joining Morgan Stanley, he wa s the Chief Compliance Officer for Prudential Investment Management, the asset management segment of Prudential Financial, Inc. Formerly, he served as Chief Risk Officer and Chief Ethics Officer for Prudential Investment Management and Prudential Investments from 2002 to 2007. Tim started his career at Prudential in 1992 working with Prudential Capital Group as Assistant General Counsel. In 1997, he was appointed Vice President and Chief Legal Officer for the Private Equity Group. Tim started his career practicing law with the firm of Chadbourne & Parke. He is a member of the bar of the States of New York and California.