Ms. Casey advises on financial markets policy, regulatory compliance and risk management, corporate governance, international regulatory developments, and enforcement.

She has more than thirty years of experience in various senior government and private sector leadership roles and brings a combination of high-level strategic competency and technical expertise, including substantial experience in financial services, capital markets policy and regulation, and corporate governance. Ms. Casey has a strong record of building effective alliances and broad consensus to achieve strategic goals in multiple U.S. and global organizations and industries. 

Ms. Casey currently serves on several corporate, advisory, and non-profit boards, including the Federal Home Loan Mortgage Corporation, Sepio Systems, Inc., Kharon Strategic Advisory Board, the Library of Congress Trust Fund Board, the Sterman Masser, Inc. Advisory Board, and the Center for Audit Quality Governing Board.​

From 2006 to 2011, she served as a Commissioner of the Securities and Exchange Commission (SEC). During her tenure, including through the financial crisis, Ms. Casey acted as the SEC’s principal representative in various international fora, including multilateral and bilateral regulatory dialogues, the G-20 Financial Stability Board, and the International Organization of Securities Commissions (IOSCO). In this capacity, she also served in several international leadership positions, including Chair of the IOSCO Technical Committee and Co-Chair of the CPSS-IOSCO Review of Standards, IOSCO OTC Derivatives Task Force, IOSCO Task Force on Supervisory Cooperation, and Financial Stability Board Working Group on Provisioning. ​

Ms. Casey received her J.D. from George Mason University Antonin Scalia Law School and her B.A. in international politics from The Pennsylvania State University.

Details

Get the latest trends, stats, and research on financial markets and securities.