Natasha Greiner

Natasha Vij Greiner is the Deputy Director and National Associate Director for the Investment Adviser/Investment Company Examination Program within the SEC’s Division of Examinations. Prior to these roles, she was the Acting Chief Counsel and an Assistant Chief Counsel in the SEC’s Division of Trading and Markets’ Office of Chief Counsel where she provided legal and policy advice on matters affecting various market participants, including broker-dealers and self-regulatory organizations, and the overall operation of the securities markets. Prior to joining the Division of Trading and Markets in 2012, Ms. Greiner worked in the SEC’s Division of Enforcement where she was the lead attorney in various enforcement matters involving complex institutional and retail trading, market manipulation, municipal bonds, accounting fraud and insider trading. Prior to her time in the Division of Enforcement, Ms. Greiner was a lead examiner in the SEC’s Office of Compliance Inspections and Examinations where she led and conducted targeted examinations of broker-dealers on issues such as best execution, anti-money laundering, mutual fund sales, structured finance and analyst conflicts. Ms. Greiner earned a J.D. from The Catholic University of America, Columbus School of Law, and a B.S., cum laude, from James Madison University.

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