Natasha Greiner is responsible for leading the Washington, DC-based investment adviser and investment company examination office within the U.S. Securities & Exchange Commission’s Office of Compliance Inspections and Examination (OCIE). This new position was created in 2019 to oversee and direct the work of the approximately 40 lawyers, accountants, and examiners whose primary responsibility is to conduct examinations of offshore SEC registrants and support National Examination Program initiatives throughout the country. Ms. Greiner served in various roles at the SEC prior to re-joining OCIE, including Acting Chief Counsel and Assistant Chief Counsel in the Division of Trading and Markets where she provided legal and policy advice to the Commission on rules affecting market participants and the operation of the securities markets. Prior to joining the Division of Trading and Markets, Ms. Greiner spent almost a decade in the SEC’s Division of Enforcement, including in its Asset Management Unit, where she investigated possible violations of the federal securities laws and litigated civil enforcement proceedings in federal district court and administrative proceedings. Ms. Greiner began her career at the SEC in OCIE where she conducted examinations of broker-dealers. Ms. Greiner earned her J.D. from The Catholic University of America, Columbus School of Law. She graduated cum laude with a Bachelor of Science degree from James Madison University.