Dwayne M Brown
About Dwayne M Brown
Dwayne M Brown is a Senior Associate Chief Accountant at the US Securities & Exchange Commission, where he has worked since 1989. He holds a BBA in Accounting & Finance from The University of Texas at Austin and has over 30 years of experience in financial reporting and securities law enforcement.
Work at U.S. Securities and Exchange Commission
Dwayne M Brown serves as the Senior Associate Chief Accountant at the U.S. Securities and Exchange Commission (SEC) within the Division of Enforcement. He has held this position since 1989, accumulating over 35 years of experience in financial reporting and securities law enforcement. In this role, he supervises investigations related to violations of federal securities laws, particularly those concerning financial reporting. His extensive tenure at the SEC highlights his commitment to regulatory compliance and the enforcement of securities laws.
Education and Expertise
Dwayne M Brown earned a Bachelor of Business Administration (BBA) degree in Accounting and Finance from The University of Texas at Austin, where he studied from 1978 to 1981. He also attended Washington University in St. Louis, focusing on Civil Engineering for one year in 1977. His educational background provides a strong foundation in both financial principles and analytical skills, which are essential in his current role in securities regulation.
Background
Dwayne M Brown began his career in accounting at Coopers & Lybrand, where he worked as an Audit Supervisor from 1981 to 1987 in Dallas, Texas. This early experience in auditing laid the groundwork for his later work in financial reporting and compliance. His transition to the SEC marked a significant shift towards regulatory enforcement, where he has since developed a deep understanding of securities laws and their implications for financial reporting.
Achievements
Throughout his career, Dwayne M Brown has been involved in supervising investigations into violations of federal securities laws. His role at the SEC has allowed him to contribute to the enforcement of regulations that govern financial reporting. His extensive experience in the field positions him as a knowledgeable figure in securities law enforcement, particularly in matters related to financial integrity and compliance.