Practice Expertise

  • Business Law
  • Securities Litigation and Enforcement
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Areas of Practice

  • Business Law
  • Securities Litigation and Enforcement
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Profile

Investment compliance advisor with extensive regulatory insight

Vanessa Meeks counsels investment advisers on both registration and ongoing compliance matters. She advises registered investment companies, their investment advisers and their boards of directors/trustees on a wide variety of regulatory, compliance and business matters, including:

  • Fund governance matters
  • Adviser registration and compliance

Vanessa formerly served as a senior counsel with the U.S. Securities and Exchange Commission (SEC), where she worked in the Division of Investment Management and the Office of Investor Education and Advocacy. She has extensive experience with the Investment Advisers Act of 1940 and Investment Company Act of 1940, including related SEC rulemakings, no-action letters and exemptive relief. She has had responsibility for advising on enforcement cases and examinations, including an onsite investment adviser examination. This experience enables her to provide her clients with practical and customized strategies to their business needs.

Bar Admissions

  • District of Columbia

Education

  • Duke University School of Law (J.D., 2008)
  • Vanderbilt University (B.A., 2005)

Areas of Practice

  • Business Law
  • Securities Litigation and Enforcement

Professional Career



Articles

  • Annual Update of Form ADV and Recent Regulatory Changes Affecting Advisers
  • Annual Update of Form ADV and Recent Regulatory Changes Affecting Advisers

Seminar

  • Business Law Training: SEC Compliance: Spotting Common Securities Law Issues in Transactional Matters

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