Raymond Jensen is an associate in the firm’s New York office. He is a member of the Asset Management and Investment Funds practice group.
This is a temporary biography. A complete biography will be available soon.
Prior to joining the firm, Raymond served as a legal/compliance law school analyst for a New York law firm. In this role, Raymond communicated with teams and outside counsel to negotiate and execute sale-side and buy-side NDAs, NRLs, and subscription agreements. He also was responsible for preparing SEC Rule 206(3) and Form ADV filings, private placement memorandums, entity formation documents, and other documents with counsel to report to executive committees, regulators, and relevant deal teams. In addition, Raymond trained employees on a regular basis to ensure all employees were knowledgeable on updated SEC Rules, and FINRA Regulations.