Firm types we serve
We help prepare registered investment companies, as well as their boards, sponsors, advisers, sub-advisers, and service providers, for the rigors of SEC examinations.
We help private equity, private debt, venture capital, and real estate fund managers as well as their portfolio companies comply with the Investment Advisers Act of 1940 and industry best practices.
We work closely with investment and operations teams providing pre-and post-deal technology, cybersecurity, privacy, and ESG transaction advisory services and portfolio company oversight.
Our market share
Of the top 50 money managers, as noted in the ADV Ratings September 2021 ranking data
Hedge Fund Managers
Of the top 100 hedge fund managers, as noted in the May 2021 edition of Hedge Fund Alert
Private Equity Funds
Of the top 100 private equity funds, as noted in the June 2021 PEI 300
Trusted by leading financial services firms worldwide
We work with over 6,300 financial services firms worldwide to build scalable and progressive GRC programs that help them protect and grow their business. Our innovative and scalable approach integrates expert advisory, on-demand managed services, and award-winning technology that can be tailored to your unique needs.
Helping risk and compliance functions across your firm
- Risk and Compliance Leaders
- Risk and Compliance Teams
- General Counsel and Legal Teams
- Marketing and Performance Teams
- ESG Teams
- Information Technology and Security Teams
- Investor Relations Teams
We are pleased to announce the release of our new master class series on the SEC’s Marketing Rule! Sponsored by the NSCP and ACA Group and developed by Patrick Hayes, host of the Compliance In Context Podcast, and Carlo di Florio, ACA Group’s Global Advisory Leader.
ACA Group has been named one of the 100 most innovative AIFinTech companies in the financial industry by FinTech Global.
For the second year in a row, implementing the SEC’s Marketing Rule for Investment Advisers remains the number one worry for investment adviser compliance officers, according to the 2022 Investment Management Compliance Testing Survey.