Shane C. is an experienced regulatory counsel currently serving at the U.S. Securities and Exchange Commission since September 2012, with a focus on the Division of Examinations (Private Funds Unit) and previously in the Division of Investment Management. Prior to this, Shane C. practiced law at Shane Cox, Attorney at Law, and held a staff attorney position at Robbins Umeda, LLP. Shane C. began a legal career at KPMG as an associate. Educational qualifications include a Juris Doctor from the University of San Diego School of Law, a Certificate in Securities and Financial Regulation from Georgetown University Law Center, and dual Bachelor’s degrees in Accountancy and Business Administration (Finance) from the University of North Dakota.
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