By working with the client's legal advisor (or one of our own), Frank Nagy Financial Services provides corporate services specializing in U.S. and Foreign Private Placement Stock Offerings as well as the formation of US and offshore hedge funds.
Our service involves introducing and coordinating a team of banking, administrators and accounting professionals. In this core group, we can collectively direct you in properly starting a US or Offshore hedge fund.
ANY SERVICES OFFERED, OPINIONS, NEWS, ANALYSES OR OTHER INFORMATION CONTAINED IN THIS WEB SITE IS PROVIDED AS GENERAL INFORMATION, AND DOES NOT CONSTITUTE INVESTMENT, LEGAL OR TAX ADVICE OR SOLICITATION OF SUCH SERVICES. FRANK NAGY FINANCIAL SERVICES DOES NOT OFFER OR SELL SECURITIES.
Frank Nagy is Managing Director of Frank Nagy Financial Services.
Since 1998, Mr. Nagy has been serving clients by providing financing consultation and lending services for residential and commercial real estate worldwide as well as providing business consultation to traders, money managers and investment advisers seeking to launch their own hedge fund.
By working along side with experienced securities attorneys, Mr. Nagy has assisted companies seeking to raise capital by preparing all the necessary offering documents as well as addressing critical factors such as public awareness, valuation, pricing, and minimal shareholder dilution. In addition to a global network of banking, legal and accounting professionals Mr. Nagy is able to assist his clients accomplish their global business needs.
As a widely diverse business consultant, Frank Nagy prides himself on his honesty and integrity. Assurance that confidentiality and respect is always at its highest level.
EXPERIENCE AND BACKGROUND:
1998 to present - Developed and launched Frank Nagy Financial Services. Hedge fund and private placement consultant providing business consultation to traders, money managers and investment advisers seeking to launch their own hedge fund. Experienced in drafting offering documents subject to legal review by client's attorney. Licensed Mortgage Broker/Broker Business (until 2010). Arranged financing for commercial and residential clients. Provided financing consultation by introducing various funding structures to commercial projects located in various countries.
1996 to 1998 - Loan originator for various mortgage lending companies.
1990 to 1996 - Vice President of local mortgage banking firm. Supervised loan originators. Managed loan pipelines. Developed marketing and advertising campaigns.
1988 to 1992 - Registered Representative (Series 7 & 63). Licensed stock broker. Working knowledge of NASD (now FINRA) securities regulations. Worked with and cleared trades through various broker-dealers.
1984 to 1987 - Bergen Community College. Course work in Business Administration and International Finance.