Andrew J. Dunbar Joins Bel Air Investment Advisors as GC and CCO

Wealth management advisory firm Bel Air Investment Advisors recently announced the addition of Andrew J. Dunbar as its general counsel and chief compliance officer.  Dunbar will oversee legal, advisory and compliance needs for the firm’s operations.  Prior to joining Bel Air, Dunbar was a partner at Sidley Austin LLP and previously was an enforcement attorney at the SEC in its Los Angeles Regional Office.  For insight from Dunbar, see “2014 Was a Series of ‘Firsts’ in the SEC’s Focus on Investment Advisers and Investment Companies,” Hedge Fund Law Report, Vol. 8, No. 4 (Jan. 29, 2015); and “How Can Hedge Fund Managers Understand Recent SEC Developments to Mitigate Enforcement Risk?,” Hedge Fund Law Report, Vol. 6, No. 8 (Feb. 21, 2013).

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