Lori A. Richards, Director of the SEC’s Office of Compliance Inspections and Examinations, said, “This appointment reflects the increasing importance of the Boston office's work in carrying out the Commission's investor protection mission. Lucy has a thorough understanding of the industry and the issues currently at the forefront of the Commission’s agenda. She is a real asset for investors and the Commission.”
Walter G. Ricciardi, District Administrator for the Boston District Office, said, “Lucy has been a major force in the Boston office’s efforts to protect investors. She will provide outstanding leadership to our team of examination professionals.”
While serving as an examiner and manager in the Boston District Office’s examination program, Corkery coordinated and supervised several high profile examinations that uncovered significant wrongdoing and led to important Commission enforcement actions. Under her leadership, the examination staff made substantial contributions to recent SEC enforcement cases against Raymond James for the fraud of one of its brokers, two subsidiaries of FleetBoston for improper market timing agreements, and five former Prudential brokers for deceptive market timing practices.
Before joining the Commission staff, Corkery spent several years in the private sector working in both the broker-dealer and investment management areas of the financial services industry. Corkery received her B.A. from Boston College in 1978.