Meredith MacVicar is a seasoned legal professional with extensive experience in securities regulation and prosecution. Currently serving as Senior Special Counsel in the Division of Trading and Markets at the U.S. Securities and Exchange Commission since August 2019, Meredith has held various roles including Counsel to the Director and Special Counsel. Prior experience includes Principal Counsel at FINRA from April 2012 to August 2019, where responsibilities encompassed providing legal guidance on broker-dealer regulations, overseeing investigations, and managing litigation. Meredith also served as an Assistant District Attorney at the Kings County District Attorney's Office between January 2007 and March 2012, handling felony cases and leading trial strategies. Academic credentials include a Juris Doctor from St. John's University School of Law and a Bachelor of Science in Business Administration from Georgetown University. Additional experience includes internships and roles in legal and educational settings.
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