We are pleased to announce that Grace Vogel will join PwC as a senior strategy and policy advisor in our Financial Services Regulatory Practice. Grace will advise client board of directors and senior executives with regard to business strategy, risk management, and regulatory implementation.
Grace has been FINRA's executive vice president (EVP) for member regulation since FINRA's inception in 2007. She oversaw the Department of Risk Oversight and Operational Regulation through the financial crisis, and managed industry wide regulatory change while coordinating with the Federal Reserve, SEC and CFTC. She had previously served as EVP for member firm regulation at the New York Stock Exchange (NYSE) until its regulatory operations merged with the National Association of Securities Dealers (NASD) to form FINRA.
Previously, Grace served for over a decade in key financial roles at large global banks. She was deputy controller at Citigroup and controller at Citibank. Before that she was the chief accounting officer at JP Morgan and chief financial officer at JP Morgan Securities.
Grace has been very active in many financial services industry organizations, including serving as president of the Financial Management Division of the SIA. She is also on the Advisory Council of the University of Albany's Institute for Financial Market Regulation. She earned her Bachelor of Science in accounting from the State University of New York in Albany.