Kevin Yung is a seasoned compliance advisor and financial services professional with extensive experience in hedge fund compliance and regulatory oversight. Currently serving as the Director of Hedge Fund Compliance Advisory at Optima Partners Compliance Advisory since January 2021, Kevin provides comprehensive support for various regulatory requirements, including SEC and CFTC regulations, while conducting mock inspections and marketing reviews. Previously, Kevin held positions at the Securities and Futures Commission, where significant contributions included formulating policy initiatives and conducting investigations on regulatory breaches. Kevin’s career also includes a managerial role at PwC, overseeing audit services for asset management clients and providing regulatory advice. Kevin holds a Master of Laws in Compliance and Regulations from The University of Hong Kong and a Bachelor of Business Administration in Accounting from The Chinese University of Hong Kong, along with professional designations as a CPA, CFA, and CAMS.
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