Kevin Mc Grath big

 

Kevin P. McGrath

Associate mcgrath@thsh.com 212-508-6782 LinkedIn

Practice Areas

Areas of Focus

  • Fund formation and structuring
  • Fund-related financing transactions
  • Securities Law Compliance
Kevin Mc Grath big

Kevin P. McGrath

Associate mcgrath@thsh.com 212-508-6782 LinkedIn

Practice Areas

Areas of Focus

  • Fund formation and structuring
  • Fund-related financing transactions
  • Securities Law Compliance

Biography

Kevin P. McGrath is an associate in Tannenbaum Helpern’s Investment Management practice. He advises clients on the formation and structuring of US and non-US venture capital, private equity, and hedge funds. Kevin has significant experience assisting investment managers with regulatory issues, SEC and other government agency examinations and investigations, and compliance matters arising under the U.S. securities laws, including the Investment Advisers Act of 1940, the Investment Company Act of 1940, and the Securities Act of 1934. He also has experience representing investors in private funds and managed accounts.

Prior to joining the Firm, Kevin was an associate at Emmet, Marvin & Martin LLP where he represented major financial institutions in connection with a wide range of domestic and international corporate finance transactions, debt restructurings, and out-of-court workouts. Kevin previously worked at J.P. Morgan Asset Management, counseling business groups with respect to US regulatory matters related to their investment management business.

College:

  • B.A., Fordham University, College at Rose Hill, 2008

Law School:

  • J.D. University of Connecticut, School of Law, 2013

- Certificate in Tax Law

  • Emmet, Marvin & Martin LLP (2017-2018)
  • J.P. Morgan Asset Management (2013 – 2017)

Professional:

  • New York City Bar Association
  • Member of Securities Litigation Committee
  • New York State Bar Association
  • Member of the Securities Regulation Committee
  • New York

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Kevin P. McGrath is an associate in Tannenbaum Helpern’s Investment Management practice. He advises clients on the formation and structuring of US and non-US venture capital, private equity, and hedge funds. Kevin has significant experience assisting investment managers with regulatory issues, SEC and other government agency examinations and investigations, and compliance matters arising under the U.S. securities laws, including the Investment Advisers Act of 1940, the Investment Company Act of 1940, and the Securities Act of 1934. He also has experience representing investors in private funds and managed accounts.

Prior to joining the Firm, Kevin was an associate at Emmet, Marvin & Martin LLP where he represented major financial institutions in connection with a wide range of domestic and international corporate finance transactions, debt restructurings, and out-of-court workouts. Kevin previously worked at J.P. Morgan Asset Management, counseling business groups with respect to US regulatory matters related to their investment management business.

College:

  • B.A., Fordham University, College at Rose Hill, 2008

Law School:

  • J.D. University of Connecticut, School of Law, 2013

- Certificate in Tax Law

  • Emmet, Marvin & Martin LLP (2017-2018)
  • J.P. Morgan Asset Management (2013 – 2017)

Professional:

  • New York City Bar Association
  • Member of Securities Litigation Committee
  • New York State Bar Association
  • Member of the Securities Regulation Committee
  • New York

Sorry, there are no Case Studies related to this Attorney.

Sorry, there is no Press related to this Attorney.

Sorry, there are no Events related to this Attorney.

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