Andrew Ceresney

Last updated
David M. Becker
Education Columbia College (BA)
Yale Law School (JD)
OccupationAttorney
Employer Debevoise & Plimpton
Known forDirector of the U.S. Securities and Exchange Commission's Division of Enforcement (2013–2017)

Andrew J. Ceresney [1] is an American lawyer at Debevoise & Plimpton and a former government official who served as director of the U.S. Securities and Exchange Commission's Division of Enforcement. [2] [1]

Biography

Ceresney graduated from Columbia College, summa cum laude Phi Beta Kappa, in 1993 and received his J.D. from Yale Law School in 1996. [1] [3]

From 1996 to 1997, he served as a law clerk to Michael Mukasey, former Chief Judge of the United States District Court for the Southern District of New York. He then served as a law clerk to Dennis Jacobs, Chief Judge of the U.S. Court of Appeals for the Second Circuit between 1997 and 1998. [4]

He served as Deputy Chief Appellate Attorney in the U.S. Attorney’s Office for the Southern District of New York, where he was a member of the Securities and Commodities Fraud Task Force and the Major Crimes Unit, overseeing investigations, trials, and appeals into white collar crimes including securities fraud, mail fraud, money laundering, and corruption. [4]

He joined Debevoise & Plimpton in 2003, becoming the co-chair of the firm's white collar and regulatory defense group. [1] At Debevoise, Ceresney represented a number of the nation’s largest banks, including JPMorgan Chase during an inquiry involving its foreclosure practices. [5] He also helped depose Donald Trump in a lawsuit against Timothy L. O'Brien for underestimating his net worth in a book. [6] [7]

In 2013, he was hired by Mary Jo White to join the U.S. Securities and Exchange Commission as Co-Director of its Division of Enforcement. [4] Ceresney previously served as White's lieutenant as a defense lawyer at Debevoise and a federal prosecutor in the U.S. Attorney's Office for the Southern District of New York for more than a decade. [8] He took sole leadership in 2014. [9]

As head of SEC's division of enforcement, he took on a "broken windows" approach, enforcing the smallest of violations in hopes of keeping Wall Street from breaking major ones. [10] Under his tenure, the division brought about 2,850 enforcement actions and obtained judgments and orders totaling more than $13.8 billion in monetary sanctions. The SEC also charged over 3,300 companies and over 2,700 individuals, including many senior corporate executives. [11] Over 80 were tried in federal court, including insider trading cases against Leon Cooperman and sports better Billy Walters. [9]

In 2017, Ceresney left the U.S. Securities and Exchange Commission and re-joined Debevoise & Plimpton as co-chair of the firm's litigation practice, a post once held by his mentor, Mary Jo White. [12] He was succeeded by Stephanie Avakian. [13]

Related Research Articles

<span class="mw-page-title-main">U.S. Securities and Exchange Commission</span> Government agency overseeing stock exchanges

The U.S. Securities and Exchange Commission (SEC) is an independent agency of the United States federal government, created in the aftermath of the Wall Street Crash of 1929. The primary purpose of the SEC is to enforce the law against market manipulation.

<span class="mw-page-title-main">United States Attorney for the Southern District of New York</span> Chief federal law enforcement officer in eight New York counties

The United States Attorney for the Southern District of New York is the chief federal law enforcement officer in eight New York counties: New York (Manhattan), Bronx, Westchester, Putnam, Rockland, Orange, Dutchess and Sullivan. Established by the Judiciary Act of 1789, the office represents the United States government in criminal and civil cases across the country. The SDNY handles a broad array of cases, including but not limited to those involving white collar crime, domestic terrorism, cybercrime, public corruption, organized crime, as well as civil rights disputes.

<span class="mw-page-title-main">Davis Polk</span> International law firm headquartered in New York City

Davis Polk & Wardwell LLP, better known as Davis Polk is a white-shoe, international law firm headquartered in New York City with 980 attorneys worldwide and offices in Washington, D.C., Northern California, London, Madrid, Hong Kong, Beijing, Tokyo, and São Paulo. The firm has consistently been recognized as a global leader in banking & financial services as well as in capital markets.

<span class="mw-page-title-main">Debevoise & Plimpton</span> International law firm

Debevoise & Plimpton LLP is an international law firm headquartered in New York City. Founded in 1931 by Harvard Law School alumnus Eli Whitney Debevoise and Oxford-trained William Stevenson, the firm was originally named “Debevoise, Plimpton & McLean”. Debevoise specializes in private equity, M&A, insurance and financial services transactions, private funds, complex litigation, investigations, and international arbitration. In 2021, the firm assisted the Democratic Party in the second impeachment trial of Donald Trump. Debevoise consistently ranks among the most profitable law firms in the world on a per partner basis.

<span class="mw-page-title-main">Mary Jo White</span> American attorney

Mary Jo White is an American attorney who served as the 31st chair of the Securities and Exchange Commission (SEC) from 2013 to 2017. She was the first woman to be the United States Attorney for the Southern District of New York, serving from 1993 to 2002. On January 24, 2013, President Barack Obama nominated White to replace Elisse B. Walter as Chair of the U.S. Securities and Exchange Commission. She was confirmed by the Senate on April 8, 2013, and was sworn into office on April 10, 2013. In 2014, she was listed as the 73rd most powerful woman in the world by Forbes.

Eric R. Dinallo is a partner and chair of the insurance regulatory practice at Debevoise & Plimpton LLP and a member of the firm’s Financial Institutions and White Collar & Regulatory Defense Groups. Formerly Executive Vice President, Chief Legal Counsel at The Guardian Life Insurance Company of America, Inc. Formerly Superintendent of Insurance for New York State, he was nominated by Governor Eliot Spitzer and confirmed by the New York State Senate on April 18, 2007 as the 39th Superintendent of the New York State Insurance Department. On May 28, 2009 he announced his resignation and subsequently left state government service to become a visiting professor at New York University's Stern School of Business. On August 24, 2009, Dinallo announced that he was preparing for a possible campaign for the elected office of New York State Attorney General. He was defeated in the primary on September 14, 2010 by Eric T. Schneiderman, who went on to win the office in the general election.

<span class="mw-page-title-main">Linda Chatman Thomsen</span> American lawyer and government official

Linda Chatman Thomsen was the director of the Division of Enforcement for the U.S. Securities and Exchange Commission from 2005 until early 2009. Since arriving at the SEC in 1995, she worked under four SEC Chairmen: Arthur Levitt, Harvey Pitt, William H. Donaldson, and Christopher Cox. William Donaldson named her director of the Division of Enforcement on May 12, 2005. She is the first woman to serve as director of the Division of Enforcement. Thomsen is known for her role in the suits by the SEC against Enron and Martha Stewart, and for not having investigated Bernard Madoff. She succeeded Stephen M. Cutler. She is now a senior counsel at Davis Polk & Wardwell.

<span class="mw-page-title-main">Robert Khuzami</span> Former SEC Enforcement Director and former United States federal prosecutor

Robert S. Khuzami was the Deputy U.S. Attorney for the United States Attorney's Office for the Southern District of New York until March 22, 2019. He previously was a United States federal prosecutor and Assistant United States Attorney for the office, and a former director of the Division of Enforcement of the U.S. Securities and Exchange Commission. He was previously a partner at law firm Kirkland & Ellis. and general counsel of Deutsche Bank AG.

Gary J. Aguirre is an American lawyer, former investigator with the United States Securities and Exchange Commission (SEC) and whistleblower.

<span class="mw-page-title-main">SEC Office of the Whistleblower</span>

The U.S. Securities and Exchange Commission (SEC) whistleblower program went into effect on July 21, 2010, when the President signed into law the Dodd-Frank Wall Street Reform and Consumer Protection Act. The same law also established a whistleblower incentive program at the Commodity Futures Trading Commission to incentivize reporting of violations of the Commodity Exchange Act, which is run by former senior SEC enforcement attorney Christopher C. Ehrman. The SEC Whistleblower Program rewards people who submit tips related to violations of the federal securities laws. The program offers robust employment protections, monetary awards and the ability to report anonymously. SEC whistleblowers are entitled to awards ranging from 10 to 30 percent of the monetary sanctions collected, which are paid from a replenishing Investor Protection Fund. Since 2011, whistleblower tips have enabled the SEC to recover over $4.8 billion in financial penalties from wrongdoers. The SEC has awarded more than $1 billion to whistleblowers. The largest SEC whistleblower awards to date are $114 million, $110 million, and $50 million.

<span class="mw-page-title-main">Jordan A. Thomas</span> American attorney, writer, speaker and media commentator

Jordan Andolini Thomas is an American attorney, writer, speaker and media commentator. He is a partner and Chair of the firm SEC Whistleblower Advocates PLLC, where he represents whistleblowers reporting violations of the federal securities laws to the U.S. Securities and Exchange Commission (SEC).

<span class="mw-page-title-main">Neil Eggleston</span> American lawyer

Warren Neil Eggleston is an American lawyer who served as the White House Counsel under President Barack Obama. Eggleston was the fourth person to hold this post during the Obama administration.

<span class="mw-page-title-main">Chuck Rosenberg</span> Former United States Attorney, Eastern District of Virginia

Chuck Rosenberg is an American attorney. He formerly served as the U.S. Attorney for the Eastern District of Virginia (EDVA) and for the Southern District of Texas; as a senior FBI official on the staff of two FBI Directors; as Counselor to the Attorney General; as the Chief of Staff to the Deputy Attorney General; as an Assistant U.S. Attorney in EDVA in Norfolk and Alexandria; and as the former Acting Administrator of the Drug Enforcement Administration.

<span class="mw-page-title-main">Cabinet of Donald Trump</span> Members of President Donald Trumps Cabinet

Donald Trump assumed office as President of the United States on January 20, 2017, and his term ended on January 20, 2021. The president has the authority to nominate members of his Cabinet to the United States Senate for confirmation under the Appointments Clause of the United States Constitution.

<span class="mw-page-title-main">Christopher A. Wray</span> 8th Director of the Federal Bureau of Investigation

Christopher Asher Wray is an American attorney who is the eighth Director of the Federal Bureau of Investigation, serving since 2017. From 2003 to 2005, Wray served as Assistant Attorney General in charge of the Criminal Division in George W. Bush's administration. From 2005 to 2016, he was a litigation partner with the law firm King & Spalding.

<span class="mw-page-title-main">Christy Goldsmith Romero</span> American lawyer and government official

Christy Goldsmith Romero is an American lawyer and federal government official. She currently serves as a commissioner on the Commodity Futures Trading Commission. From 2011 to 2022, she served as the Special Inspector General of the Troubled Asset Relief Program, a federal law enforcement agency and an independent audit watchdog that targets financial institution crime and other fraud, waste, and abuse related to the TARP bailout. In this capacity, she investigated financial institution crime related to the TARP bailout. Notable investigations by SIGTARP include Wilmington Trust, Sonoma Valley Bank, General Motors, United Commercial Bank, Morgan Stanley, Ally Financial, Bank of the Commonwealth, Jefferies, RBS, and SunTrust.

Steven Peikin is an American lawyer, who began his career as a prosecutor and later transitioned to white collar criminal defense for the law firm Sullivan & Cromwell, where he was Managing Partner. On June 8, 2017 he was appointed as co-director of the Securities and Exchange Commission (SEC) Enforcement Division, a title he shares with Stephanie Avakian. The division is responsible for overseeing investigations into misconduct in the financial markets and brings civil suits against those who have committed fraud or other financial crimes.

Stephanie Avakian is an American lawyer, regulator and white collar criminal defense specialist appointed on June 8, 2017 to co-head the U.S. Securities and Exchange Commission (SEC) Division of Enforcement, a title she shares with Steven Peikin. The division is responsible for overseeing investigations into misconduct in the financial markets and brings civil suits against those who have committed fraud or other financial crimes.

<span class="mw-page-title-main">Craig Carpenito</span> American lawyer and official (b. 1973)

Craig Carpenito is an American lawyer who served as the United States Attorney for the District of New Jersey. On January 5, 2018, Carpenito was appointed U.S. Attorney pursuant to 28 U.S.C. § 546 by US Attorney General Jeff Sessions. On April 27, 2018, the judges of the United States District Court for the District of New Jersey unanimously appointed Carpenito U.S. Attorney pursuant to their statutory powers. He resigned on January 5, 2021. He previously served as a federal prosecutor in the office from 2003 to 2008.

<span class="mw-page-title-main">Chris Krebs</span> Cybersecurity and infrastructure security expert

Christopher Cox Krebs is an American attorney who served as Director of the Cybersecurity and Infrastructure Security Agency in the United States Department of Homeland Security from November 2018 until November 17, 2020 when President Donald Trump fired Krebs for contradicting Trump's claims of election fraud in the 2020 presidential election.

References

  1. 1 2 3 4 "Andrew J. Ceresney". Debevoise. Retrieved 2021-07-12.
  2. "SEC.gov | Andrew Ceresney". www.sec.gov. Retrieved 2021-07-12.
  3. "Alumni in the News". Columbia College Today. Fall 2013. Retrieved July 12, 2021.{{cite web}}: CS1 maint: url-status (link)
  4. 1 2 3 "SEC.gov | George Canellos and Andrew Ceresney Named Co-Directors of Enforcement". www.sec.gov. Retrieved 2021-07-12.
  5. Protess, Ben (April 22, 2013). "Co-Directors for S.E.C. Signal Shift". DealBook. Retrieved 2021-07-12.
  6. "SEC Bigwig and Trump Nemesis Returns to Debevoise". news.bloomberglaw.com. Retrieved 2021-07-12.
  7. Fahrenthold, Donald (August 10, 2016). "Trump: A True Story". The Washington Post. Retrieved July 12, 2021.{{cite web}}: CS1 maint: url-status (link)
  8. "SEC chairman's former colleague to be named enforcement chief". Better Markets. 2013-04-19. Retrieved 2021-07-12.
  9. 1 2 Olson, Elizabeth (2017-01-24). "Former Top S.E.C. Enforcer Returning to Debevoise". The New York Times. ISSN   0362-4331 . Retrieved 2021-07-12.
  10. "JD Supra: SEC Sends A Message — To Executives And Their Companies". JD Supra. Retrieved 2021-07-12.
  11. "SEC.gov | Enforcement Director Andrew J. Ceresney to Leave SEC". www.sec.gov. Retrieved 2021-07-12.
  12. Michaels, Dave (2017-01-24). "Former SEC Enforcement Chief Andrew Ceresney to Return to Private Practice". Wall Street Journal. ISSN   0099-9660 . Retrieved 2021-07-12.
  13. "Andrew Ceresney to Step Down as SEC Enforcement Director". Executive Gov. 2016-12-09. Retrieved 2021-07-12.