Ryan F. Helmrich

no photo

Biography

Ryan Helmrich advises investment managers, broker-dealers, fund sponsors, custodial banks, transfer agents and other asset servicing providers on a broad range of investment management regulatory and transactional matters. He also counsels asset managers on a range of regulatory issues, including registration, interpretive guidance, new product development, regulatory examinations and enforcement actions.

In addition to his broad experience in asset management, Ryan regularly represents financial institutions in lift-out transactions, master servicing arrangements, derivatives-trading arrangements, as well as other matters affecting their domestic and global asset-servicing activities (custody, administrative, sub-accounting, and transfer agency). He also works with state sponsors, private program managers and other providers of retirement savings (SECURE Act) products, Section 529 college savings programs, Section 529A (ABLE) disability savings programs, and regularly represents investment advisers, broker-dealers, and program administrators with product development, distribution and government contract negotiation.

Ryan has deep private sector experience, having served as Director and Assistant General Counsel with Bank of America Merrill Lynch, where he advised the Chief Investment Office and global wealth management division, focusing on new product development and augmentation, cross-product issues, performance reporting and advertising, product supervision, risk management, internal audit, and compliance. He also led a legal team in the transition of legacy Merrill Lynch investment platforms, which included registered funds, 529 Plans and alternative investments, and supported the Wealth Management and U.S. Trust advisory platforms with new product origination, distribution, client and third-party relationships, and trading issues.

Before joining Bank of America Merrill Lynch, Ryan was a member of the Investment Management practice in a nationally recognized law firm, where he represented private, open- and closed-end funds and exchange-traded funds (ETFs), their advisers and listing markets in regulatory and transactional matters, including formation, reorganization, trading and distribution, advertising, ongoing board reporting and SEC regulatory compliance. He also regularly assisted clients in conducting internal compliance audits and in developing and maintaining compliance programs.

The attorney is providing legal services through and affiliated with Greenberg Traurig, LLP, a New York Limited Liability Partnership. Prior results do not guarantee a similar outcome.

Areas of Practice (4)

  • Investment Management
  • Financial Regulatory & Compliance
  • Private Funds
  • Institutional Banking & Investment Services (IBIS)

Education & Credentials

University Attended:
American University, B.A., 1999
Law School Attended:
The Catholic University of America, Columbus School of Law, J.D., cum laude, Managing Editor, Catholic University Law Review, 2004
Year of First Admission:
2011
Admission:
New Jersey; 2011, New York; 2004, Pennsylvania; District of Columbia
Memberships:

Professional & Community Involvement

•Member, American Bar Association

Reported Cases:
Experience: In-House Experience: Bank of America Merrill Lynch, 2008-2012; Director & Assistant General Counsel, 2010-2012; Vice President & Counsel, Merrill Lynch, 2008-2010; Previous Experience: Associate, PricewaterhouseCoopers, 1997-2000; Internships: Intern, FINRA, 2002-2003; Summer Honors Associate, U.S. Securities and Exchange Commission, 2002
ISLN:
1000293034

Peer Reviews

This lawyer does not have peer reviews.

Client Reviews Write a Review

Location

Contact Ryan F. Helmrich

Required Fields

Required Fields


By clicking on the "Submit" button, you agree to the Terms of Use, Supplemental Terms and Privacy Policy. You also consent to be contacted at the phone number you provided, including by autodials, text messages and/or pre-recorded calls, from Martindale and its affiliates and from or on behalf of attorneys you request or contact through this site. Consent is not a condition of purchase.

You should not send any sensitive or confidential information through this site. Emails sent through this site do not create an attorney-client relationship and may not be treated as privileged or confidential. The lawyer or law firm you are contacting is not required to, and may choose not to, accept you as a client. The Internet is not necessarily secure and emails sent though this site could be intercepted or read by third parties.