Tony Jordan joins StoneTurn from the U.S. Securities and Exchange Commission (SEC) where he was the Boston District Office Accounting Branch Chief overseeing all accounting related investigations. He was at the SEC from 2003 through 2006. Tony is a certified public accountant with extensive experience in performing investigations related to 10b-5 class actions. Prior to his experience at the SEC, Tony was with a Big Four accounting firm where he worked on behalf of Special Committees of the Board of Directors, named directors and officers and/or senior management. He has analyzed SEC reporting issues including revenue recognition, the accounting for promotional marketing allowances, derivative accounting, accounting for stock options, the adequacy of various reserves, inventory manipulations and various other issues revolving around the interpretation and application of generally accepted accounting principles. In addition, Tony has experience in a variety of other litigation and investigatory matters including purchase price disputes, the preparations and analysis of damages claims, business valuation and the investigation of defalcations and/or misuse of corporate assets. Tony has developed and instructed several training programs around the country and has presented fraud training programs to the Federal Bureau of Investigation and Institute of Certified Fraud Examiners. |