Michael Kanef is the Chief Regulatory and Compliance Officer for Moody's Investors Service. He assumed this role in December 2007 and is responsible for Moody's global regulatory outreach and compliance efforts.
Mr. Kanef joined Moody's as a senior analyst in the Term Asset-Backed Securities Team in 1997 after working as an associate in the Asset-Backed Finance Group at Skadden Arps Slate Meagher & Flom LLP. He was appointed co-head of the U.S. Term Asset-Backed and Asset-Backed Commercial Paper rating teams in June 2000 and promoted to Group Managing Director of the US. Asset Finance Group in June 2004. His responsibilities within the U.S. Asset Finance Group included participation in meetings with Congressional staffs and appearing before committees of both the U.S. Senate and House of Representatives.
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