About a-team Marketing Services
The knowledge platform for the financial technology industry
The knowledge platform for the financial technology industry

A-Team Insight Blogs

ACA Compliance Group Launches New Global ESG Practice

Subscribe to our newsletter

ACA Compliance Group (ACA) today launched a specialist global environmental, social, and governance (ESG) advisory practice, headed up by Dan Mistler, who joins ACA from ESG and environment firm, Bridge House Advisors.

Sustainability and responsible investing increasingly appear on the agendas of global political leaders, regulators, and firms alike. According to President-elect Joe Biden, the U.S. will hold a world climate summit within the first 100 days of his presidency and the SEC has already begun to turn its attention to ESG-focused strategies, taking a “particular interest” in these strategies as part of their 2020 OCIE priorities. Meanwhile in Europe, the Sustainable Finance Disclosure Regulation (SFDR) comes into play on March 10, 2021, imposing new manager and product-level disclosure obligations related to ESG and sustainability.

Data from Morningstar shows that ESG investments funds hit $80.5 billion in the third quarter of 2020, pushing the total invested in these funds to over $1 trillion. According to a recent ACA survey, almost two-thirds (63.5%) of respondents feel increased pressure from allocators on ESG and impact issues. And the coronavirus pandemic has seen the ESG sector grow steadily, with more and more investors turning to sustainable business models in the hope that they are better able to endure market shocks.

The new ACA team will provide ESG advisory services to support the sustainable investment ecosystem. Mistler, who is also founder of ESG specialist advisory firm, ESG Edge, has substantial experience in the sector, and previously led ESG services at multiple other large and boutique consulting firms, including EY and Environmental Resources Management.

“The ESG movement has gained significant momentum in recent years, with an uptick in investors across the board turning to their investment managers to plan out and achieve responsible investment goals,” he says. “Additionally, there is green financial regulation coming through globally, which will further push along what has been developed through organic demand. Our strong heritage of compliance expertise, as well as performance and verification, and cybersecurity, is perfectly placed to support firms with ESG across their entire investment lifecycle.”

Crista DesRochers, a partner at ACA focused on performance and GIPS® compliance verification and member of the CFA Institute ESG Verification Sub-Committee, will join Dan to lead the practice. Dani Williams also joins the team from ACA’s UK regulatory compliance practice to focus on ESG in financial regulation.

Subscribe to our newsletter

Related content

WEBINAR

Recorded Webinar: Are Your Legacy Voice Recordings a Compliance Time Bomb?

Recent enforcement actions underscore the importance of maintaining accurate, secure and up-to-date voice and electronic communication. For some organisations, legacy voice recording systems are not at or beyond end-of-life, posing significant compliance, operational and financial risks. These outdated systems often fail to meet evolving regulatory expectations around data authenticity, retention, and accessibility. Delaying action increases...

BLOG

A (Free) Practical AI Handbook for Capital Markets Professionals

Artificial Intelligence (AI) has swiftly transitioned from a promising concept into an operational reality across the capital markets. Senior executives, compliance leaders, and technology specialists are already well-acquainted with the potential of AI to streamline processes, enhance decision-making, and open new competitive opportunities. Yet, the current challenge isn’t about grasping AI’s transformative potential – it’s...

EVENT

Buy AND Build: The Future of Capital Markets Technology

Buy AND Build: The Future of Capital Markets Technology London examines the latest changes and innovations in trading technology and explores how technology is being deployed to create an edge in sell side and buy side capital markets financial institutions.

GUIDE

Regulatory Data Handbook 2025 – Thirteenth Edition

Welcome to the thirteenth edition of A-Team Group’s Regulatory Data Handbook, a unique and practical guide to capital markets regulation, regulatory change, and the data and data management requirements of compliance across Europe, the UK, US and Asia-Pacific. This year’s edition lands at a moment of accelerating regulatory divergence and intensifying data focused supervision. Inside,...