Matthew R. Silver works closely with investment management clients on broker-dealer and investment adviser regulation as well as private fund managers. He has experience counseling his clients on contractual drafting and negotiation issues; dealing directly with regulators including FINRA, the SEC, the NFA and the CFTC; advising on CFTC/NFA futures/swap issues; drafting the formation, operating and disclosure documentation for private funds; and negotiating ISDA swap documentation.
Matthew has worked on the M&A transactions of investment advisers and brokers, including negotiation, due diligence and documentation, handled finance-related transactions, and worked on the design, drafting and implementation of regulated entity compliance programs.