James F. Murtha
About James F. Murtha
James F. Murtha serves as Senior Counsel in the Division of Enforcement's Complex Financial Instruments Unit at the U.S. Securities and Exchange Commission, where he has worked since 2010. He has extensive experience in litigation related to complex financial instruments and has participated in high-profile government investigations.
Work at U.S. Securities and Exchange Commission
James F. Murtha serves as Senior Counsel in the Division of Enforcement, specifically within the Complex Financial Instruments Unit, at the U.S. Securities and Exchange Commission (SEC). He has held this position since 2010, contributing to the agency's efforts in regulating and enforcing laws related to complex financial instruments. His role involves participating in high-profile government investigations and overseeing litigation efforts in this specialized area.
Education and Expertise
James F. Murtha has an extensive educational background that includes studies at Western New England University School of Law and Georgetown University Law Center. He also studied at the University at Buffalo School of Management, The State University of New York. His education has equipped him with a strong foundation in law and finance, which supports his expertise in handling complex financial litigation.
Background
James F. Murtha has built a career focused on complex financial instruments and enforcement actions. His background includes significant experience in litigation, particularly related to complex financial instruments, which is critical to his current role at the SEC. His involvement in high-profile investigations highlights his capacity to navigate intricate legal challenges within the financial sector.
Achievements
In his capacity as Senior Counsel, James F. Murtha has contributed to various press releases regarding cases brought forward by the SEC. His work in this area reflects his active participation in the agency's communication efforts and underscores the significance of the cases he has been involved with in the enforcement of financial regulations.