Keynote Speakers Announced for ACA Compliance Group's Spring 2017 Compliance Conference

March 14, 2017

Paul J. Vitchock, Andrew J. Ceresney, and Jonathan Boersma will be the keynote speakers at the Spring 2017 Compliance Conference. Below is more information about our speakers.

 

Paul J. Vitchock

Paul J. Vitchock
Supervisory Special Agent at the FBI

Supervisory Special Agent Paul J. Vitchock has investigated computer intrusion matters in Pittsburgh and Washington, DC, managed the FBI Eurasian Organized Cyber Crime program at FBIHQ, and most recently served as the FBI Cyber Attaché at the US Embassy in Bucharest, Romania. He currently manages the FBI Cyber Squad in Tampa and Orlando which includes criminal and national security investigations. Click here to learn more about Paul.

 

Andrew J. Ceresney

Andrew J. Ceresney
Partner, Debevoise

Andrew J. Ceresney is a partner in the New York office of Debevoise and Co-Chair of the Litigation Department.

Mr. Ceresney has many years of experience prosecuting and defending a wide range of white collar criminal and civil cases, having served in senior law enforcement roles at both the U.S. Securities and Exchange Commission ("SEC") and the U.S. Attorney’s Office for the Southern District of New York. Mr. Ceresney also has tried and supervised many jury and non-jury trials and argued numerous appeals before federal and state courts of appeal. Click here to learn more about Andrew.

Jonathan Boersma, CFA
Head of Professional Standards and Executive Director of the Global Investment Performance Standards (GIPS®) at CFA Institute

Mr. Boersma is Head of Professional Standards and Executive Director of the Global Investment Performance Standards (GIPS®) at CFA Institute. Mr. Boersma is responsible for the oversight of all aspects of the CFA Institute Professional Standards, which includes, among others, the CFA Institute Code of Ethics and Standards of Professional Conduct, the GIPS standards, the Asset Manager Code of Professional Conduct, and the Pension Trustee Code. His responsibilities include initiating, directing, supporting, and managing the creation of solutions and practices to improve the integrity and ethical practices within the financial services industry. Click here to learn more about Jonathan.