Joseph M. Mannon > Vedder Price > Chicago, United States > Lawyer Profile

Vedder Price
222 NORTH LASALLE STREET, SUITE 2600
CHICAGO, IL 60601-1003
ILLINOIS
United States

Work Department

Investment Services - Private Fund Formation

Position

Shareholder

Career

Mr. Mannon focuses his practice on legal and compliance matters for investment advisers, mutual funds, closed-end funds and unregistered vehicles such as hedge funds, hedge fund of funds and other investment entities. With regard to unregistered vehicles, he frequently counsels clients on fund formation and structuring matters for funds organized both in the United States and abroad. He also counsels clients on issues relating to commodity trading advisers and commodity pool operators.

Mr. Mannon has substantial experience in regulatory and compliance matters affecting investment advisers, including registration and marketing, such as compliance with Global Investment Performance Standards (GIPS), as well as in drafting compliance policies and procedures. He counsels advisers on trading agreements, including brokerage and derivatives agreements. He also conducts mock Securities and Exchange Commission (SEC) examinations and represents clients before the SEC and other regulators in examinations and investigations.

Mr. Mannon also spends significant time counseling registered and unregistered investment company boards.

Prior to rejoining Vedder Price, Mr. Mannon was the Associate General Counsel for one of the world’s largest hedge fund of funds advisers, where he was responsible for legal matters pertaining to various registered and unregistered products, including offering materials and international registration requirements, as well as overseeing the firm’s day-to-day compliance program. Prior to that, Mr. Mannon was an associate in the Investment Services group of Vedder Price.

In 2000, Mr. Mannon served as a judicial extern to the Honorable John W. Darrah, U.S. District Court for the Northern District of Illinois.

From 2001 to 2004, Mr. Mannon served as a staff attorney for the Division of Enforcement of the Securities and Exchange Commission. At the Commission, he litigated federal district court actions and conducted numerous investigations, including complex financial fraud investigations. In addition, Mr. Mannon investigated mutual funds, investment advisers and broker-dealers for violations of the pricing, valuation and books and records requirements of the federal securities laws. Mr. Mannon was awarded the Securities and Exchange Commission Chairman’s Award for Excellence in 2002.

Mr. Mannon is a frequent speaker on investment adviser compliance matters, and from 2008 to 2011 he led the Midwest CCO Compliance Roundtable.

Memberships

  • Member, Chicago Bar Association
  • Member, Association of the Securities and Exchange Commission Alumni

Education

  • Loyola University Chicago School of Law, J.D., 2001
  • Michigan State University, B.A., 1998, with honors

Lawyer Rankings

United States > Investment fund formation and management > Private equity funds (including venture capital)

Vedder Price‘s private fund formation practice is ‘dedicated to getting projects completed as efficiently as commercially possible‘, with its team drawing on diverse experience to advise private equity and venture capital funds, funds focused on aviation, maritime, railcar and other real assets, and real estate funds. Joseph Mannon at the Chicago office is the main contact and leads an array of matters for private equity, venture and real asset funds. Robert Crea in San Francisco is the name to note on the West Coast and his broad caseload includes representing pension plans and other institutional investors targeting PE and VC funds.

United States > Investment fund formation and management > Mutual/registered/exchange-traded funds

Admired for its ‘extensive knowledge and experience in the mutual fund industry‘, Vedder Price is a reliable choice for the range of matters in the registered fund sphere, from the plethora of regulatory matters, securities regulations and ERISA and tax matters, to derivatives and structured products, transactions and contentious issues. The practice acts for hundreds of separate open and closed-end Investment Company Act of 1940 registered funds, ranging from those with $5bn to over $100bn in assets. The firm’s Chicago office is a key location for the practice; practice co-heads Cathy Gonzales O’Kelly and Joseph Mannon are based there, as well as Renee Hardt and Deborah Bielicke Eades. Bruce Rosenblum is the third of the trio coordinating the department and is based in Washington DC, alongside Marguerite Bateman and Amy Ward Pershkow.