Cheryl is a member of the Firm’s Government and Internal Investigations Practice. She represents corporations, financial institutions and individuals in SEC and other regulatory enforcement proceedings. Cheryl conducts internal investigations and counsels clients on FCPA compliance programs, SEC reporting, disclosure and corporate governance requirements.
Associate Director in the SEC’s Division of Enforcement and the first Chief of the SEC’s FCPA Unit. Joined Firm in 2011.
Duke Law School, Board of Visitors.
BA, University of Alabama in Huntsville (1986); JD, Duke University School of Law (1989).