Mr. Goodwin serves White Oak as the Chief Compliance Officer. He has nearly 20 years of experience in regulatory compliance, risk management and private fund administration. Prior to joining White Oak, Mr. Goodwin was a Partner at regulatory compliance consulting firm and fund administrator; Greyline Partners. Mr. Goodwin was the fifth employee at Greyline and led Greyline’s West Coast Division until its ultimate sale in 2022 to an international strategic acquirer; IQEQ. Prior to Greyline, Mr. Goodwin was the Managing Director, Head of Compliance at Blue River Partners which was also subsequently purchased by IQEQ. While at Blue River, Mr. Goodwin managed a team of 30 consultants providing regulatory compliance services to investment advisers of private debt funds, private equity funds, hedge funds, business development companies and mutual funds. Prior to Blue River, Mr. Goodwin spent six years at TPG Capital, a private fund manager with more than $75 billion in assets under management. At TPG, Mr. Goodwin served as Director, Risk Management as well as a Senior Compliance Specialist. Mr. Goodwin was responsible for Sarbanes Oxley compliance in preparation for TPG’s public listing as well as regulatory compliance for TPG’s private debt funds, hedge fund, business development company and broker dealer. Prior to TPG, Mr. Goodwin held various compliance positions at UBS Wealth Management including Chief Compliance Officer to UBS’ unit investment trust business. While at UBS, Mr. Goodwin provided compliance support to UBS’ investment advisory businesses including the separately managed account and proprietary advisory account platforms.
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