
Saher Hamideh
Professional Bio
Saher is counsel in the Corporate Transactions & Securities group. She has 20 years of investment management legal experience, both in private practice and as in-house counsel and chief compliance officer for registered investment advisers and their affiliated broker-dealers.
Saher provides comprehensive guidance on investment adviser compliance, assisting with SEC and state registrations, drafting Forms ADV, developing compliance manuals for newly registered investment advisers, and conducting ongoing compliance consulting. She also advises clients on SEC exams and complex regulatory filings.
FinCEN Announces Postponement and Reopening of Investment Adviser AML Rule
Investment Management Regulatory Update ·