Isabelle D. G.
About Isabelle D. G.
Isabelle D. G. is a Senior Accountant at the U.S. Securities and Exchange Commission, where she has worked since 2016, focusing on investment advisers and investment companies. She holds a Bachelor of Business Administration from Baruch College and a Master's degree in Forensic Accounting from John Jay College.
Work at U.S. Securities and Exchange Commission
Isabelle D. G. has been employed at the U.S. Securities and Exchange Commission (SEC) since 2004. She currently holds the position of Senior Accountant, a role she has occupied since 2016. In this capacity, she focuses on the inspection program, specifically targeting investment advisers and investment companies. Her extensive tenure at the SEC includes previous roles as a Staff Accountant and a Securities Compliance Examiner, allowing her to develop a comprehensive understanding of regulatory compliance and financial oversight.
Education and Expertise
Isabelle D. G. earned her Bachelor of Business Administration (B.B.A.) in Accountancy from Baruch College, where she studied from 1996 to 1999. She furthered her education at John Jay College (CUNY), obtaining a Master's degree with a specialization in Inspection & Oversight Forensic Accounting from 2013 to 2016. This educational background equips her with a strong foundation in accounting principles and forensic analysis, enhancing her capabilities in her current role at the SEC.
Background
Isabelle D. G. began her career at the U.S. Securities and Exchange Commission in 1999 as a Securities Compliance Examiner, a position she held until 2004. Following this role, she transitioned to a Staff Accountant position, where she worked for 12 years before becoming a Senior Accountant. Her career trajectory reflects a commitment to regulatory compliance and financial oversight within the investment sector.
Achievements in Inspection Program
Since July 2016, Isabelle D. G. has been actively involved in the Investment Advisers & Investment Companies Inspection Program at the SEC. Her participation in this program underscores her expertise in evaluating compliance and operational practices within the investment industry. Her role contributes to the SEC's mission of protecting investors and maintaining fair, orderly, and efficient markets.