Ms. Brown has been a Director of NYSE Group since December 1 2005 and also served as a Director of the NYSE from April 2005 to March 7 2006 the date on which the merger of the NYSE and Archipelago was completed. Ms. Brown 58 is also a Director of NYSE Regulation.
Since 1996 she has been President of Brown & Associates a corporate law and consulting firm that specializes in operations compliance and governance services for financial services industry clients. She teaches investment adviser and broker-dealer law at Villanova University Law School.
Ms. Brown was Maryland Securities Commissioner from 1987 to 1992 and a member of the board of the National Association of Securities Dealers Regulation Inc. from 1996 to 1999. She has been appointed a trustee of the Financial Accounting Foundation the overview board of the Financial Accounting Standards Board.
She also served on the board of the Certified Financial Planner Board of Standards the standard-setting body for the CFP credential from 2000 to 2004. |