2010

    Press Release


    A A A



    Contact(s):

    James Schiavone
    212-596-6119
    jschiavone@aicpa.org

    AICPA/SIFMA FMS National Conference on the Securities Industry, Nov. 17-18 

    Published November 11, 2010

    Co-sponsored by the AICPA and the Financial Management Society of the Securities Industry & Financial Markets Association, the National Conference on the Securities Industry offers practitioners in public practice and industry members the most comprehensive update in accounting and regulatory matters, including:

    • Sheila C. Bair of the FDIC speaks on the financial crisis and regulatory reform efforts
    • Jon S. Corzine provides a CEO’s perspective on the financial services industry and financial reform
    • Updates from SEC and FASB officials



    WHEN:
            
    Wednesday, Nov. 17 - Thursday, Nov. 18, 2010

     

    WHERE:     
    The Grand Hyatt, 109 East 42nd Street, New York, NY

     

    WHO:            
    Shelia C. Bair, Federal Deposit Insurance Corporation, Washington, DC
    Carmine DiSibio, Ernst & Young LLP, New York, NY
    David Kane, Ernst & Young LLP, New York, NY
    Glenn Schorr, Nomura Securities International, Inc., New York, NY
    Robert Colby, Davis Polk & Wardwell LLP, Washington, DC
    Jan Hatzius, Goldman Sachs, New York, NY
    Chip Currie, PricewaterhouseCoopers LLP, Florham Park, NJ

    John Lawton, U.S. Commodity Futures Trading Commission, Washington, DC

    Ann Shulman, CME Group, Chicago, IL

    Bob Worshek, Financial Accounting Standards Board, Norwalk, CT

    Jon S. Corzine, MF Global Inc., New York, NY

    Elisse Walter, U.S. Securities and Exchange Commission, Washington, DC

    Bob Wilkins, Financial Accounting Standards Board, Norwalk, CT

    T. Timothy Ryan, Jr., Securities Industry and Financial Markets Association, New York, NY

    Ken Caputo, Securities Investor Protection Corporation, Washington, DC
    Nancy Grimaldi, EisnerAmper LLC, New York, NY
    Jamie Eichen, Securities and Exchange Commission, Washington, DC
    Mark Holloway, Goldman Sachs, New York, NY
    Michael Jamroz, Deloitte & Touche LLP, Washington, DC
    Michael Macchiaroli, Division of Market Regulation, Securities and Exchange Commission, Washington, DC
    Grace Vogel, Financial Industry Regulation Authority, New York, NY
    Dianne Dobbeck, Federal Reserve Bank of New York, New York, NY                                              

    A copy of the conference schedule is available at:    www.cpa2biz.com/secur  

                            

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