SEC Regulations Committee
2011
The SEC Regulations Committee’s mission is to protect investors by improving the quality of public-company financial reporting by identifying, discussing, and facilitating resolution of issues relating to the promulgation, interpretation and application of SEC rules, regulations and policies with the assistance of the SEC staff and communicating those matters publicly on a timely basis.
Chris Holmes, Ernst & Young LLP – Chair
Melanie Dolan, KPMG LLP – Vice Chair
Peter Bible, Eisner Amper LLP
Jim Brendal, Hein & Associates, LLP
Jack Ciesielski, R.G. Associates, Inc.
Brad Davidson, Crowe Horwath LLP
Christine Davine, Deloitte & Touche, LLP
David Follett, Moss Adams LLP
Bridgette Hodges, Grant Thornton, LLP
Wayne Landsman, University of North Carolina
Jeffrey W. Lenz, BDO USA, LLP
Kevin McBride, Intel
Steve Meisel, PricewaterhouseCoopers LLP
Sandra Peters, CFA Institute
Scott Pohlman, McGladrey & Pullen, LLP
Michelle Stillman, Hewlett Packard
Don Zakrowski, Eli Lilly & Company
CAQ Staff Contact:
Annette Schumacher, CPA
Senior Technical Manager for Policy and Research
202-609-8062
aschumacher@thecaq.org

