
John Jerow is counsel in Willkie’s Asset Management Department. He is based in the Firm's New York office.
John has almost 25 years of experience in the investment management field, both in law firm practice as well as in-house roles as general counsel and chief compliance officer. He has extensive experience in public and private fund formation and adviser formation matters, as well as advising on the creation and refinement of compliance policies and procedures and related training for managers of hedge funds and mutual funds. He also has substantial experience in counseling private funds regarding marketing, governance, disclosure and compliance matters.
John served for nine years on the New York City Bar Association’s Investment Management Regulation Committee, which focuses on regulatory and litigation issues faced by investment advisers and pooled investment vehicles, particularly mutual funds and other types of registered investment companies.
John has almost 25 years of experience in the investment management field, both in law firm practice as well as in-house roles as general counsel and chief compliance officer. He has extensive experience in public and private fund formation and adviser formation matters, as well as advising on the creation and refinement of compliance policies and procedures and related training for managers of hedge funds and mutual funds. He also has substantial experience in counseling private funds regarding marketing, governance, disclosure and compliance matters.
John served for nine years on the New York City Bar Association’s Investment Management Regulation Committee, which focuses on regulatory and litigation issues faced by investment advisers and pooled investment vehicles, particularly mutual funds and other types of registered investment companies.
Experience
- Former Secretary of New York City Bar Association’s Investment Management Regulation Committee
Credentials
Education
Columbia University School of Law, J.D., 2000 Yale University, B.A., 1997