Antonia Savaria is a regulatory compliance attorney and risk management executive with over 15 years industry experience in investment management, hedge fund, corporate governance, contract and business law. Antonia has extensive in-house expertise and has worked in various legal, compliance and risk management capacities at global financial organizations as well as entrepreneurial ventures, such as Morgan Stanley, KPMG, Focus Financial Partners and Intrade. She has provided counsel on legal, regulatory and compliance issues arising under the Investment Advisers Act of 1940, Investment Company Act of 1940, SEC and FINRA rules, as well as regulations of the FCA (UK regulator) and the Ontario Securities Commission and Autorité des marchés financiers (Québec) (Canadian regulators).
Antonia founded Atlantia Advisers with the goal of providing a holistic approach to the strategic advisory and regulatory compliance needs of small- to mid-sized investment advisers, hedge funds, wealth managers, and private equity firms that seek expert advice, benchmarking against industry best practices, practical guidance and sustainable solutions.
Antonia partners with the C-level executives and understands the value of effective, timely and efficient communication. Her approach is discerning and resourceful.
Antonia lives in New York City and enjoys theater, photography, jazz, traveling, writing poetry, and she also supports artists and arts organizations through pro bono work.
We have a network of partners whose business is ancillary to the services we provide, such as partners that provide compliance software, risk tolerance tools, CRM and client portals solutions. If interested, please let us know, and we can make a recommendation appropriate for your business.