- Company:J. Goldman & Co. L.P.
- Short Bio:Adam J. Reback is the Chief Compliance Officer of J. Goldman & Co., L.P. (“JGC”), a hedge fund, based in New York, NY. Mr. Reback joined JGC in 2006 and has over 18 years of experience in hedge fund, investment adviser, investment company, and broker-dealer compliance. Mr. Reback has primary responsibility for all Legal/Compliance matters of JGC including the development, implementation and assessment of the firm’s compliance program. In addition, Mr. Reback jointly oversees the Administration/HR, Operations, and IT Departments of the firm. Prior to joining JGC, Mr. Reback was the Chief Compliance Officer and member of the Senior Management Committee of BKF Asset Management, Inc. (formerly John A. Levin & Co., Inc.), for five years, where he implemented and oversaw the administration of compliance programs for the firm’s registered investment adviser, hedge fund, broker-dealer, and mutual fund businesses. Previously, Mr. Reback has held management positions at Ladenburg, Thalmann & Co., Inc. and Gruntal & Co., Inc. Mr. Reback has held FINRA Series 7, 9, 10, 24, 62, and 63 registrations. Mr. Reback serves on the Board of Directors of The National Society of Compliance Professionals (NSCP) and chairs the NSCP Private Funds Committee. Mr. Reback is a regular contributor to various investment industry periodicals and a frequent speaker on a wide variety of topics relating to hedge fund, investment adviser and broker-dealer regulation and compliance. Mr. Reback holds a B.A. from New York University.