Jay Williamson
About Jay Williamson
Jay Williamson serves as Senior Counsel at the U.S. Securities and Exchange Commission, specializing in the review of disclosures for ETFs, BDCs, and closed-end funds, particularly in private credit strategies. He holds a J.D. from Georgetown University Law Center and has previous experience as an auditor at PricewaterhouseCoopers and as Senior Counsel at the SEC.
Work at U.S. Securities and Exchange Commission
Jay Williamson has been serving as Senior Counsel at the U.S. Securities and Exchange Commission (SEC) since 2014. He works within the Disclosure Review and Accounting Office of the Division of Investment Management. His responsibilities include reviewing disclosures for exchange-traded funds (ETFs), business development companies (BDCs), and closed-end funds, with a particular emphasis on private credit strategies. Prior to his current role, he held the position of Senior Counsel/Counsel at the SEC from 2005 to 2014, accumulating nine years of experience in the Washington D.C. Metro Area.
Education and Expertise
Jay Williamson earned his Juris Doctor (J.D.) from Georgetown University Law Center, where he studied from 2003 to 2005. He also holds an AB in Economics from the College of the Holy Cross, which he completed from 1995 to 1998. His educational background provides a strong foundation for his specialization in reviewing financial disclosures, particularly in the context of investment management and private credit strategies.
Background
Before his tenure at the SEC, Jay Williamson worked as an Auditor at PricewaterhouseCoopers from 1998 to 2000 in Boston, MA. This role contributed to his understanding of financial reporting and compliance, which is essential in his current position at the SEC. His career trajectory reflects a consistent focus on legal and financial disciplines, particularly in the investment management sector.
Professional Experience
Jay Williamson's professional experience spans over two decades in the legal and financial sectors. His work at the SEC has involved extensive engagement with investment management regulations, particularly concerning ETFs, BDCs, and closed-end funds. His previous role as an Auditor at PricewaterhouseCoopers provided him with critical insights into financial auditing and compliance, further enhancing his expertise in disclosure review.