When you have headaches, reach for aspirin. When you have regulatory headaches, reach for our capital markets expertise.
Asset managers, private equity funds, and broker-dealers are scrambling to adjust to sudden changes in their operating and regulatory environment. How can they effectively respond to more stringent regulations and enforcement, evolving products and markets, and various operational challenges?
Capital markets services delivered by experienced Crowe specialists can help these businesses comprehend and address issues such as:
We offer services to meet Public Company Accounting Oversight Board, Securities and Exchange Commission, and other audit requirements.
Our tax specialists can keep you up to speed on potential rule changes in the face of increasing political uncertainty.
From regulatory response to rule implementation, our extensive capital markets services can help you address current and emerging issues.
We understand the issues that asset managers, private equity funds, and broker-dealers are going through because we’ve served clients in this space for a long time. We understand the regulatory environment because we understand the regulators. And we keep our finger on the pulse of new market and technology developments.
Our service model is designed to put the most qualified people on your team, regardless of where they're based, with offices across the U.S., as well as a Crowe-owned subsidiary, Crowe Cayman Ltd. We can also tap into the expertise of the Crowe Global network, which encompasses more than 200 independent accounting and advisory firms in more than 130 countries.
See how we help private equity groups and their portfolio companies navigate a challenging deal market.