Anya Veksler, Cfa
About Anya Veksler, Cfa
Anya Veksler is a Senior Securities Compliance Examiner at the U.S. Securities and Exchange Commission, where she has worked since 2015. She holds multiple degrees in economics and finance from institutions including the University of Buenos Aires and Brandeis University.
Work at U.S. Securities and Exchange Commission
Anya Veksler has served as a Senior Securities Compliance Examiner at the U.S. Securities and Exchange Commission (SEC) since 2015. In this role, she focuses on the prevention of fraud through risk-focused strategies. Veksler plays a critical part in identifying and monitoring risks within the securities market, contributing to enhanced industry practices. She also provides insights from examination results to support the SEC's rule-making initiatives, ensuring that regulations align with current market conditions.
Education and Expertise
Anya Veksler holds multiple degrees in economics and finance. She earned a Bachelor of Arts in International Economics and Regional Politics from the University of Buenos Aires. Additionally, she obtained a Bachelor of Arts in Economics from Brandeis University and a Master of Arts in Finance & International Business from Brandeis International Business School. Veksler also studied Business, Management, Marketing, and Related Support Services at Esade, where she achieved a Master of Arts. Her educational background provides a strong foundation for her work in securities compliance.
Professional Background
Before joining the SEC, Anya Veksler worked as a Client Services Executive at StatPro Revolution Alpha from 2010 to 2015. In this position, she was responsible for client relations and service delivery in the Greater New York City Area. Earlier in her career, she completed a two-month internship in Brand Management at Coty, specifically with Rimmel Cosmetics, in 2006. These roles contributed to her understanding of market dynamics and client needs.
Role in Fraud Prevention and Risk Management
At the SEC, Anya Veksler is involved in the prevention of fraud through the implementation of risk-focused strategies. Her responsibilities include identifying potential risks within the securities market and monitoring them to enhance industry practices. Veksler's work contributes to the SEC's mission of protecting investors and maintaining fair, orderly, and efficient markets.