Susan V. Lynskey is a Director at Alaric Compliance Services, LLC with more than 18 years of experience managing compliance programs for SEC-registered investment advisers across multiple investment firms, including hedge funds, funds of hedge funds, commodity pools and private funds. At Alaric, Ms. Lynskey conducts focused risk assessments of compliance policies and procedures; structures and implements new compliance programs; participates in SEC exams; oversees new regulatory registrations; and administers ongoing compliance obligations. Clients include hedge funds, SEC and State RIAs, CFTC/NFA registered CPOs and CTAs, fund of hedge funds and commodity funds.
Ms. Lynskey currently serves as the Chief Compliance Officer to a global fund of hedge funds with more than $2B in AUM and to a leading mortgage asset adviser with more than $1.6B AUM in onshore and offshore investment funds that focus on residential mortgage whole loan investments. Ms. Lynskey provides compliance program monitoring and testing support to the adviser of an investment firm with an AUM of $1.8B in commodity and long/short equity master/feeder funds and for an investment adviser launching a new private investment fund, she revised an existing compliance program, oversaw CFTC/NFA registration and now monitors ongoing compliance obligations.
Prior to joining Alaric in 2012, Ms. Lynskey served as CCO at Highland Financial Holdings, LLC, an alternative asset investment firm whose assets under management grew from $100 million to more than $1.5 billion under management. At Highland, she structured and implemented all elements of a sophisticated, pro-active compliance program in support of multiple investment vehicles.
Ms. Lynskey earned her B.A. in History from the College of New Rochelle. She is a member of the National Society of Compliance Professionals, the Regulatory Compliance Association and 100 Women in Hedge Funds.
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