Adam Bolter

Adam Bolter

Senior Counsel, Division Of Investment Management @ U.S. Securities and Exchange Commission

About Adam Bolter

Adam Bolter serves as Senior Counsel in the Division of Investment Management at the U.S. Securities and Exchange Commission, where he has worked since 2010. He has a background in auditing and financial policy analysis, with prior experience at Ernst & Young and the Federal Reserve Board.

Current Role at U.S. Securities and Exchange Commission

Adam Bolter serves as Senior Counsel in the Division of Investment Management at the U.S. Securities and Exchange Commission (SEC). He has held this position since 2010, contributing to the regulatory landscape for investment management. His work involves overseeing and developing regulations that govern investment companies and private investment funds. Bolter operates primarily from the SEC's offices in Chicago, Illinois, and Washington, D.C.

Previous Experience at Ernst & Young

Before joining the SEC, Adam Bolter worked as an Auditor at Ernst & Young in Bermuda from 2001 to 2003. His role involved conducting audits and providing assurance services to clients, which helped him gain foundational experience in financial analysis and compliance.

Experience at Federal Reserve Board

In 2015, Adam Bolter served as a Financial Policy Analyst at the Federal Reserve Board for a period of five months. His responsibilities included analyzing financial policies and their implications, contributing to the Board's understanding of economic conditions and regulatory needs.

Educational Background

Adam Bolter earned his Juris Doctor (JD) degree from American University Washington College of Law, completing his studies from 2003 to 2006. Prior to that, he obtained a Bachelor of Science (B.S.) in Accounting from Penn State University, where he studied from 1992 to 1996. His educational background provides a strong foundation in both law and finance.

Legal Experience at Katten Muchin Rosenman LLP

Adam Bolter worked as an Associate at Katten Muchin Rosenman LLP from 2006 to 2010. During this time, he gained experience in various aspects of legal practice, focusing on investment management and regulatory compliance, which prepared him for his current role at the SEC.

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