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Tim Holman brings over 25 years of experience advising investment managers, financial institutions, and operating companies on regulatory compliance, governance frameworks, and operational controls. He began his career with the U.S. Attorney’s Office and the United States Bankruptcy Court, developing a strong foundation in litigation, regulatory enforcement, and judicial process.
Tim has since led compliance programs, overseen fund formation and regulatory filings, and implemented governance policies for registered investment advisers and private funds. Known for his meticulous attention to detail and practical, solutions-driven guidance, Tim helps firms strengthen compliance culture, mitigate regulatory and operational risk, and align internal practices with both regulatory expectations and commercial objectives.
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