Meghan J. Carey
Murphy & McGonigle
Meghan Carey focuses her practice on providing regulatory and compliance advice to financial institutions, particularly investment advisers, sponsors of private investment funds and other pooled investment vehicles, and broker-dealers.
Prior to joining Murphy & McGonigle, Ms. Carey was a vice president and senior compliance officer at a large private equity firm. There she counseled the firm’s sponsors and advisers to energy and infrastructure private funds, including co-investment vehicles, separately managed accounts, and closed-end funds on formation, structuring, organization, and regulatory and compliance issues. She also provided advice regarding substantive regulations of the federal securities laws including advertising, custody of client and investor funds, valuation, allocation of fees and expenses, insider trading, cybersecurity, and AIFMD disclosure requirements.