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    Pennsylvania Private Fund Manager / Exempt Reporting Adviser Compliance

    Pennsylvania is a state with a heavy focus on senior investor protection. FIN Group provides fractional CCO services, Form ADV (Part 1A only for ERAs) filings, annual reviews, and exam support for Private Fund Manager / Exempt Reporting Advisers operating here.

    Who needs to register in Pennsylvania

    Any Private Fund Manager / Exempt Reporting Adviser with a principal place of business in Pennsylvania, or with clients located in Pennsylvania above the de minimis threshold, must register with the Pennsylvania Department of Banking and Securities or — if eligible — with the SEC.

    Pennsylvania-specific nuance

    Pennsylvania requires written supervisory procedures specifically addressing senior and vulnerable adult clients, plus a $400 RIA fee.

    Regulator: Pennsylvania Department of Banking and Securities

    Annual obligations for Private Funds

    The core federal calendar that applies on top of Pennsylvania's requirements:

    • File Form ADV Part 1A within 60 days of crossing $150M AUM threshold for full registration
    • File Form PF for private fund advisers with $150M+ in private fund AUM
    • Comply with the new Private Fund Adviser Rules (quarterly statements, annual audit, fairness opinions)
    • Maintain a written compliance program addressing valuation, allocations, and conflicts
    • Custody Rule (206(4)-2) compliance via qualified custodian and annual surprise audit
    • Investor side-letter tracking and most-favored-nation disclosures

    How FIN Group helps Pennsylvania Private Funds

    Fractional CCO

    A named, senior CCO who owns your Form ADV (Part 1A only for ERAs) filings, annual review, and exam response.

    Explore Fractional CCO

    Compliance Calendar Software

    RegReview tracks every state, federal, and firm-level deadline with automatic reminders.

    Explore Compliance Calendar Software

    Marketing Compliance Review

    ADScanner reviews every piece of marketing for Rule 206(4)-1 / FINRA 2210 issues in seconds.

    Explore Marketing Compliance Review

    Investor Onboarding

    InvestPrep handles KYC, AML, and subscription documents end-to-end.

    Explore Investor Onboarding

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