Mary Ryan is a seasoned legal professional with extensive experience in securities regulation and financial oversight. Currently serving as the Supervisory Attorney/Branch Chief at the U.S. Securities & Exchange Commission since March 2012, Mary manages regulatory examinations and monitors compliance with federal laws. Prior to this role, Mary was a Board Member at Tomorrow's Hope Foundation from 2005 to December 2023, contributing to financial support for Catholic elementary schools on Long Island. Mary also held significant positions at Standard & Poor's as a Director/Analytic Manager in both the Synthetic Securities/Structured Finance and Municipal Structured Finance departments from 1993 to 2008, and served as Assistant General Counsel at Atlantic Mutual Insurance Company from 1990 to 1993. Mary holds a Juris Doctor degree from St. John's University School of Law, a Certificate in Securities Regulation from Georgetown University Law Center, and a Bachelor of Science in Finance from Siena College.
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