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Kennedy, Thomas G.

Thomas G. Kennedy - Minneapolis, MN

Attorney at Macaluso LLP

Investment Management Regulation and Compliance Lawyers in Minneapolis, MN

IDS Center 80 South Eighth Street Suite 900 Minneapolis, MN 55402

Minneapolis Investment Management Regulation and Compliance Lawyer

Updated: 02/16/2026

Areas of Practice

  • Investment Management Regulation and Compliance
  • LATAM

Attorney Information

Overview

Tom is a Partner in Macaluso, LLP’s Investment Management Regulation and Compliance Practice. Tom serves as counselor to institutional investors, issuers, funds, advisers, and broker dealers as well as service providers on regulatory and compliance legal matters including preparations for upcoming SEC rules, review and drafting of investment advisory and other contracts, disclosures, consents and no-action letter requests for various transactions, and advice concerning management and prevention of enforcement liability.

Tom Kennedy is a financial services compliance lawyer with nearly 30 years of experience in the investment management industry. His specific areas of expertise include counseling investment advisory firms (including those who advise private funds (e.g., hedge, private equity, venture capital, and funds of funds), registered investment companies, common and collective funds and separate accounts), broker dealers and banks/trust companies engaged in wealth management and fiduciary activities. He also has experience working with fund administrators, transfer agents and custodians.

Prior to joining Macaluso LLP in October 2024, Tom was a lawyer and compliance consultant serving as a Partner at Sadis & Goldberg LLP in their Regulatory Practice, and as a Managing Director, counsel and consultant with Abide Consulting Group.

Prior to serving as external counsel and consultant, Tom worked in-house as Chief Compliance Officer and held various other compliance and legal roles with growing responsibility for well-known banks, investment advisers and broker dealers including Morgan Stanley, JP Morgan, Citigroup, Arden Asset Management, Bessemer Investment Management and First Manhattan Co. Tom served as a ‘40 Act fund complex CCO for large and small open and closed end fund families, including the Old Westbury Funds, Inc. (Bessemer’s open end mutual fund family), the Arden Sage Funds (a closed end fund complex), and he drove the compliance program aspects of the launch of a series of novel liquid alternative open end mutual funds (which were part of the Arden Investment Series Trust), and First Manhattan’s first semi-transparent Exchange Traded Fund (NYSE: FMCX).

As a result of these roles, Tom has gained expertise in investment advisory, broker dealer and anti-money laundering and sanctions laws and regulations. He also possesses international experience with UK approved advisers, Irish UCITS funds, and other European fund and distribution schemes. Tom’s experience with firms, both large and small, gives him a unique understanding of regulatory needs for his clients in the asset management business.

Tom has significant experience as a liaison with various regulatory bodies including the SEC, FINRA, CFTC, NFA, OCC, Federal Reserve, DOL, FCA and others. Tom has appeared before the SEC, and helped regulators shape new regulations, and he has represented his firm in multiple matters; resolving enforcement matters and implementing remediation plans when necessary. Tom also supplied training to asset management examiners multiple times at the SEC, OCC and Fed’s request.

Tom also serves as a Managing Director, and Head of Institutional Asset Management for AltPilot Group

Via AltPilot, Tom offers institutional investment managers, investment companies, broker dealers and institutional investors, as well as service providers consulting on compliance risk management from designing and implementing compliance programs, to managing a wide range of compliance related functions like compliance program management, regulatory filings, mock exams, testing and assisting with examinations and audits.

Over the course of his career, he has been a sought-out participant and speaker in various industry group functions. Tom holds a Juris Doctor, cum laude, from St. John’s University School of Law, and a BA in Criminal Justice from Iona University. Tom is licensed to practice law in New York.


Current Employment Position(s)

  • Partner

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Contact

Google Map

Minneapolis, MN

IDS Center
80 South Eighth Street
Suite 900
Minneapolis, MN 55402

Directions

Phone: 612-426-3959

Email: Send a message

Website: https://www.mlg.us.com

  • Credit Cards Accepted

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