Cassandra Becker
About Cassandra Becker
Cassandra Becker is the Director of Legal & Regulatory at Brookfield Asset Management and serves as a Board Member at ACC Chicago.
Current Positions
Cassandra Becker is currently serving as the Director of Legal & Regulatory at Brookfield Asset Management. Additionally, she is a Board Member at the Association of Corporate Counsel (ACC) in Chicago. In her role, she focuses on corporate/securities matters and regulatory compliance. She also serves as the Programming Co-Chair for the ACC Chicago Chapter.
Past Experience
Cassandra Becker has held various notable positions throughout her career. She worked at SBB Research Group as Corporate Counsel and Compliance Manager for a year, from 2020 to 2021, in Chicago, IL. Prior to that, she amassed a decade of experience at Milliman Financial Risk Management LLC, where she served as Principal and Practice Counsel from 2010 to 2020, working in both Chicago, IL and New York, NY. Becker also spent three years as an Associate at Kirkland & Ellis LLP in Chicago, IL, from 2007 to 2010. She began her career as an Attorney in the Division of Enforcement at the SEC, where she worked from 2004 to 2007 in Chicago, IL.
Role in ACC Chicago
Cassandra Becker plays an active role in the ACC Chicago Chapter. She currently serves as the Programming Co-Chair, where she is responsible for facilitating educational and networking events. Previously, she held the position of Membership Committee Co-Chair, focusing on growing the membership base and enhancing member engagement.
Educational Background
Cassandra Becker holds a J.D. from Northwestern University Pritzker School of Law, where she studied Law. She also holds a B.A. in Political Science from the University of Illinois Urbana-Champaign. Her strong academic foundation has contributed to her expertise in corporate/securities matters and regulatory compliance.
Diverse Legal Experience
Cassandra Becker has a diverse legal background, including roles in federal government, large law firms, and in-house legal departments. Her experience spans various sectors, providing her with a robust understanding of both compliance and regulatory frameworks. Her specialization in corporate/securities and regulatory compliance has been a consistent focus throughout her career.