Chief Compliance Officer &
Adam, as Chief Compliance Officer, is responsible for overseeing GSA’s compliance program with respect to its status as a Registered Investment Adviser, and the firm’s policies, procedures and code of ethics. He also spearheads investment monitoring to ensure compliance with all financial aspects of partnership agreements, including allocations.
Prior to joining Grove Street in 2007, Adam was a Vice President and Director in the Alternative Investments Administration group of State Street Corp. where he supervised a team providing financial reporting and related services for private equity, fund of funds, hedge and other alternative investment structures.
BA, University of New Hampshire
MBA, The University of Texas at Austin