Managing Director, Investment Adviser Compliance
Mr. Hatton-Poole is a Managing Director, Investment Advisor Compliance in the Ares Compliance Group. Prior to joining Ares in 2024, Mr. Hatton-Poole was a Senior Vice President in the Legal & Compliance Group at the D. E. Shaw Group, where he focused on various aspects of the investment adviser compliance program, such as regulatory reporting, surveillance, data privacy and cybersecurity. Previously, Mr. Hatton-Poole was an Analyst at PricewaterhouseCoopers, where he focused on transaction advisory and corporate strategic advisory. Mr. Hatton-Poole holds a B.B.S. from Massey University in Finance and Information Systems. Mr. Hatton-Poole holds a Certified Regulatory and Compliance Professional (CRCP) designation from the FINRA Institute at Wharton.