Cassandra Borchers leads the firm’s US fund formation team. A financial services partner based in the Cincinnati office, she counsels clients on regulatory and compliance matters, including all aspects of federal and state securities law, such as registration, regulatory reporting, private fund and other pooled investment vehicle formation (including real estate funds, private equity funds, debt funds, hedge funds, venture capital funds, special purpose vehicle (SPVs) and commodity pools), registered fund matters (including mutual funds, exchange-traded funds (ETFs), interval funds and tender offer funds), board governance and compliance. Additionally, she brings great depth of experience working on cryptocurrency-related matters and has counseled clients that invest in bitcoin, cryptocurrency, derivatives and commodities.
Selected to Law360’s Private Equity Editorial Advisory Board in 2025 and recommended in Legal 500 for Mutual/Registered/Exchange-Traded Funds and Investment Fund Formation and Management, Cassandra’s clients appreciate her deep experience and pragmatic insights in the financial sector.
*Denotes experience gained prior to joining the firm.
Panelist, “Asset Management Webinar: Private Credit Lifecyle,” April 2026.
Co-author, "Professional Perspective: The Updated QPAM Exemption in Practice," Bloomberg Law, September 2024.
Author, “Tax Court Addresses Limited Partners’ Self-Employment Tax Status,” Lexology, December 2023.
Author, “SEC Adopts New Rules for Private Fund Advisers,” Lexology, September 2023.
Author, "NY Decision Sparks a Ripple Effect Across the Digital Assets Investment Industry,” Lexology, July 2023.
Author, "SEC's Recent Lawsuits Signal Heat Wave in Crypto-Winter,” Lexology, June 2023.
Author, “New SEC Marketing Rule FAQ Addresses Gross and Net Returns in Certain Private Fund Performance Advertising,” Lexology, January 2023.
Author, “FTX Founder Arrested, Faces Indictment in SDNY,” Lexology, December 2022.
Author, “Volcker Rule Changes Will Expand Banks’ Investment Abilities,” Lexology, July 2020.
Author, “SEC Sues Convertible Debt Lender for Alleged Registration Violation,” Lexology, March 2020.
Author, "SEC Proposes to Refine 'Accredited Investor' Definition to Increase Investment Access,” Lexology, February 2020.
Author, “SEC Pursues Unregistered Adviser to Private VC Funds,” Lexology, February 2020.
Co-presenter, “Series Trust 101,” Mutual Fund Directors Forum, May 2025
Co-presenter, “Critical Skills for High-Performance Compliance Professionals: Closing the Circle: Matching Advertising, Contract, Disclosures and Procedures,” Comply/IAA Course, January 2025.
Presenter, “In Focus – Nuts & Bolts of Series Trust Responsibilities,” Mutual Fund Directors Forum, October 2024.
Co-presenter, “Corporate Transparency Act's Impact on Private Funds and Investment Managers,” Strafford, September 2024.
Co-presenter, "Advisers Act Anti-Fraud Rules: Custody, Political Contributions, Marketing Rule (Referrals) and Proxy Voting Requirements,” Comply Connect Conference, June 2024.
Co-presenter, "Critical Skills for High-Performance Compliance Professionals: Closing the Circle: Matching Advertising, Contract, Disclosures and Procedures," Comply Connect Conference, May 2024.
Co-presenter, “Understanding Custody: Practical Examples of SEC's Findings Relating to Private Funds, Third Party Vendors, and more!” Comply Connect Conference, November 2023.
Co-presenter, “Critical Skills for High-Performance Compliance Professionals: Closing the Circle: Matching Advertising, Contract, Disclosures and Procedures,” Comply Connect Conference, July 2023.
Co-presenter, “Form ADV Part 1: Annual Updating Amendment and More,” Comply Connect Conference, July 2023.
Panelist, “Developing Policies and Procedures for Cryptocurrency,” Comply Connect Conference, November 2022.
Panelist, “Drafting Disclosures and Marketing Materials: Shifting Standards and New Challenges,” Comply Connect Conference, November 2022.
Panelist, "The Shifting Regulatory Landscape," North Capital Partner Summer, October 2022.