Supporting Documentation · Nov 22, 2022
293-22 Exhibit A.pdf
c2847bad2f18f74ad97b7b6a3518ad5e59b57c96356056f9099764d4c8711163Indexed text · page 143
Show all pages,.,- '· Vice President & Securities Counsel 1984-1987 Directed subsidiary and equity products areas of Mutual Benefit's Law Division reporting to General Counsel. Served as the primary source oflegal counsel to the subsidiary corporations and to parent in connection with the securities aspects of its mutual fund and separate account operations. Primary responsibility for the legal aspects of the formation, acquisition or disposition of subsidiary companies and compliance with regulatory requirements. Securities Counsel 1972-1984 MAP Equity Fund; MBL Growth Fund, Inc.; Map Government Fund, Inc. President and Director 1985-1997 Managed the business affairs and property of each public SEC registered mutual fund, assuring that all resolutions of each Board of Directors were implemented. Exercised oversight responsibility for the products and relations with each fund's investment adviser, distributor, custodian, transfer agent independent auditor and legal counsel. Supervised the officers of each Fund in the performance of their responsibilities. Presided at each Fund's Board of Directors, Executive Committee and Shareholders Meetings. Internal Revenue Service, Newark, NJ 1971-1972 Attorney-Estate Tax responsible for determin.ation of estate tax related legal issues. Attorney-State of New Jersey -Admitted 1969 Present EDUCATION B.S., History-Political Science-St. Peter's College, 1966 J.D., New York Law School, 1969
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