S Chambers
Securities Compliance Examiner/Senior Staff Accountant at U.S. Securities and Exchange Commission | Atlanta Metropolitan Area
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S Robbin Chambers currently serves as a Senior Staff Accountant and Securities Compliance Examiner at the U.S. Securities and Exchange Commission (SEC), where they play a vital role in safeguarding the integrity of the financial markets. In this capacity, Robbin leverages extensive expertise in securities regulation, banking law, and risk management to conduct thorough examinations of broker-dealers and investment advisers across a five-state region. Their work involves scrutinizing compliance with federal securities laws, including the Investment Advisers Act and the Securities Exchange Act, to ensure that financial entities adhere to regulatory standards designed to protect investors and maintain market stability.
Robbin's role is instrumental in identifying potential violations related to securities compliance, anti-fraud provisions, and financial reporting requirements. They lead complex audit and examination projects, utilizing their skills in auditing, report writing, and securities regulation to develop comprehensive findings and actionable recommendations. Their expertise in risk management and financial advisory allows them to assess the adequacy of internal controls and compliance programs within regulated entities, fostering a culture of transparency and accountability.
Beyond their technical proficiency, Robbin is recognized for their leadership and public speaking abilities, often engaging with industry stakeholders and internal teams to promote best practices in securities compliance. Their work not only involves detailed examinations but also contributes to ongoing efforts to enhance regulatory frameworks and investor protection initiatives. With a strong foundation in investment management and securities law, Robbin Chambers continues to be a key asset in the SEC’s mission to oversee fair, efficient, and transparent financial markets.
Securities Compliance Examiner/Senior Staff Accountant at U.S. Securities and Exchange Commission in May 1999 to Present
Compliance Examiner at Financial Industry Regulatory Authority (FINRA) in August 1996 to May 1999
Principal Bank Examiner at New York State Banking Dept in November 1993 to February 1995
Bank Examiner at Virginia State Corporation Commission in March 1991 to November 1993
Assistant Bank Examiner at Federal Reserve System in March 1990 to February 1991
Evaluator at US Government Accountability Office in February 1985 to June 1987
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Lehman College, Bachelor’s Degree, September 1980 to September 1985
Union Presbyterian Seminary, September 1987 to September 1988
Luther Rice College & Seminary, Master’s Degree, September 2026
Virginia Union University School of Theology, September 1988 to September 1989
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Regulatory Compliance
Financial Analysis
Banking Law
Regulatory Audits
Generally Accepted Accounting Principles (GAAP)
Auditing
Accounting
Internal Controls
Securities Regulation
Report Writing
Interviews
Bank Regulation
Nonprofit Consulting
Public Speaking
Investment Advisers Act
Investments
Securities
Risk Management
FINRA
Leadership
Regulatory Filings
Compliance Procedures
Investment Management
Asset Management
Financial Advisory
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Discover more about U.S. Securities and Exchange CommissionWhat is S Robbin Chambers email address?
Email S Robbin Chambers at [email protected]. This email is the most updated S Robbin Chambers's email found in 2026.
How to contact S Robbin Chambers?
To contact S Robbin Chambers send an email to [email protected]. (updated on April 24, 2025)
What company does S Chambers work for?
S Chambers works for U.S. Securities and Exchange Commission
What is S Chambers's role at U.S. Securities and Exchange Commission?
S Chambers is Securities Compliance Examiner/Senior Staff Accountant
What is S Chambers's Phone Number?
S Chambers's phone (**) *** *** 186
What industry does S Chambers work in?
S Chambers works in the Financial Services industry.
S Chambers Email Addresses
S Chambers Phone Numbers
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