Kevin Stemp, CFA, CAIA, currently serves as Counsel to the Director of the Office of Legislative and Intergovernmental Affairs (OLIA) at the U.S. Securities and Exchange Commission, where responsibilities include advising on initiatives affecting the SEC's National Exam Program and progressing large-scale projects. Previous roles at the SEC include Acting Deputy Managing Executive and Assistant Director of the Division of Enforcement, Senior Associate at WilmerHale, and Anti-Fraud Specialist at the U.S. Department of the Treasury. Kevin's experience extends to legislative investigations as Special Counsel for the U.S. Senate and various positions in finance and risk management. Kevin holds a JD from Columbia Law School, an LLM from King's College London, and a BS and BBA from the University of Washington.
This person is not in the org chart
This person is not in any teams
This person is not in any offices