- Short Bio:For more than 15 years, Kevin has provided leadership and business growth to global diversified financial services organizations. A few highlights of his experience include: · Manage the compliance function and a team of professionals for the Voya Family of Funds, a complex of over 150 funds and more than 50 sub-advisers and third party service providers. · Led internal legal teams and outside counsel in high-impact initiatives advising retail and institutional asset managers--Banc One Investment Advisors ($100B+) and Mason Street Advisors ($100B+). · Played key role in investment management decision-making and the new product development process for the $60B+ Bank One Trust Company Private Client Services and $15B+ Northwestern Mutual Wealth Management Company businesses. · Established, formed and maintained numerous domestic and offshore hedge funds, private investment companies and unregistered funds including the $250M Banc One Opportunity Fund and the $750M NM Pebble Valley LLC. Served as lead attorney for Carr Global Advisors LLC, a 14-fund hedge fund of funds adviser, with AUM of approximately $400M. · Negotiated ISDA, prime brokerage, other trade account documentation and market data agreements for OTC and exchange traded derivative transactions with various counterparties and derivative exchanges in Asia, North America, Europe, South America and Australia. · Advised on federal securities and state insurance laws governing the distribution of investments and insurance for broker dealers/insurance agencies: Banc One Securities Corporation and Northwestern Mutual Investment Services.