Cravath’s New York Office Moves to Two Manhattan West
Jennifer S. Leete is a member of the Investigations and Regulatory Enforcement Practice. She is a former Associate Director in the Division of Enforcement at the Securities and Exchange Commission (SEC), where she served for more than 20 years.
Ms. Leete represents public and private companies, financial institutions, auditors, audit committees, boards of directors, executives and board members in connection with sensitive and complex investigations, enforcement and regulatory matters. She also conducts internal investigations on behalf of board committees and companies and advises clients on corporate governance and regulatory compliance issues.
As a Senior Officer and member of the Division of Enforcement’s leadership team, Ms. Leete supervised a broad range of highly complex investigations and enforcement actions, managed a team of approximately 50 attorneys and collaborated closely with the SEC’s regulatory divisions. She regularly coordinated the resolution of matters with other authorities, including the Department of Justice, the Commodity Futures Trading Commission, state securities regulators, international securities regulators and self‑regulatory organizations, including the Financial Industry Regulatory Authority and Public Company Accounting Oversight Board.
During her tenure at the SEC, Ms. Leete investigated, supervised and filed enforcement actions involving financial fraud and disclosure violations at public companies, as well as misconduct at major broker‑dealers, investment advisers, auditing firms, private funds and self‑regulatory organizations. She also led investigations in emerging areas of the securities laws, including issues related to ESG, digital assets and cryptocurrencies, SPACs and Regulation Best Interest, in addition to insider trading, internet and offering frauds, and Ponzi schemes.
Ms. Leete joined the SEC in 1999 as a Staff Attorney in the Division of Enforcement. She became a Branch Chief in 2003 and an Assistant Director in 2010. She is a recipient of the Capital Markets Award, the Chairman’s Award for Excellence and several Division Director Awards. Prior to joining the SEC, Ms. Leete was a litigator in private practice in Washington, D.C.
Benchmark Litigation has named Ms. Leete a “Litigation Star” for New York. In addition, Lawdragon has selected Ms. Leete as one of the “500 Leading Lawyers in America” and “500 Leading Litigators in America,” and The Legal 500 US has recommended her for her work in white collar criminal defense. Ms. Leete has also been named as one of the country’s top enforcement lawyers by Securities Docket.
Ms. Leete is the Managing Editor of the 2023 edition of the Practising Law Institute’s SEC Compliance and Enforcement Answer Book, for which she also contributed three chapters.
Ms. Leete received a B.A. in 1990 from the College of William & Mary and a J.D. in 1993 from the University of Maryland School of Law, where she was the Managing Editor of the Maryland Law Review. After graduation, she served as a law clerk to Hon. Lawrence F. Rodowsky of the Court of Appeals of Maryland.
Ms. Leete represents public and private companies, financial institutions, auditors, audit committees, boards of directors, executives and board members in connection with sensitive and complex investigations, enforcement and regulatory matters. She also conducts internal investigations on behalf of board committees and companies and advises clients on corporate governance and regulatory compliance issues.
As a Senior Officer and member of the Division of Enforcement’s leadership team, Ms. Leete supervised a broad range of highly complex investigations and enforcement actions, managed a team of approximately 50 attorneys and collaborated closely with the SEC’s regulatory divisions. She regularly coordinated the resolution of matters with other authorities, including the Department of Justice, the Commodity Futures Trading Commission, state securities regulators, international securities regulators and self‑regulatory organizations, including the Financial Industry Regulatory Authority and Public Company Accounting Oversight Board.
During her tenure at the SEC, Ms. Leete investigated, supervised and filed enforcement actions involving financial fraud and disclosure violations at public companies, as well as misconduct at major broker‑dealers, investment advisers, auditing firms, private funds and self‑regulatory organizations. She also led investigations in emerging areas of the securities laws, including issues related to ESG, digital assets and cryptocurrencies, SPACs and Regulation Best Interest, in addition to insider trading, internet and offering frauds, and Ponzi schemes.
Ms. Leete joined the SEC in 1999 as a Staff Attorney in the Division of Enforcement. She became a Branch Chief in 2003 and an Assistant Director in 2010. She is a recipient of the Capital Markets Award, the Chairman’s Award for Excellence and several Division Director Awards. Prior to joining the SEC, Ms. Leete was a litigator in private practice in Washington, D.C.
Benchmark Litigation has named Ms. Leete a “Litigation Star” for New York. In addition, Lawdragon has selected Ms. Leete as one of the “500 Leading Lawyers in America” and “500 Leading Litigators in America,” and The Legal 500 US has recommended her for her work in white collar criminal defense. Ms. Leete has also been named as one of the country’s top enforcement lawyers by Securities Docket.
Ms. Leete is the Managing Editor of the 2023 edition of the Practising Law Institute’s SEC Compliance and Enforcement Answer Book, for which she also contributed three chapters.
Ms. Leete received a B.A. in 1990 from the College of William & Mary and a J.D. in 1993 from the University of Maryland School of Law, where she was the Managing Editor of the Maryland Law Review. After graduation, she served as a law clerk to Hon. Lawrence F. Rodowsky of the Court of Appeals of Maryland.
Benchmark Litigation
Lawdragon
The Legal 500 US
Activities
November 14, 2024
On October 24, 2024, Cravath hosted its sixth annual Global Enforcement Forum at its offices in New York. The event brought together investigations and regulatory lawyers from the Firm and leading foreign firms across the globe for a series of panel discussions and roundtables examining significant developments in enforcement.
Activities
November 07, 2024
On November 6, 2024, Cravath partner Jennifer S. Leete participated in Securities Docket’s 2024 Securities Enforcement Forum in Washington, D.C. The event convened current and former senior SEC officials, securities enforcement and white-collar attorneys and in-house counsel and compliance executives to discuss critical topics in securities enforcement, including cryptocurrency, whistleblowers, financial and accounting fraud, the impact of artificial intelligence and more. Jennifer spoke on a panel entitled “Minding Your Ks and Qs: The Latest Issues and Developments in Financial Reporting Fraud.”
Activities
June 26, 2024
Cravath partners Mark I. Greene and Jennifer S. Leete spoke at Stanford Law School’s 29th Annual Directors’ College, which was held from June 24‑26, 2024, in Stanford, CA.
Activities
June 11, 2024
On June 6, 2024, Cravath partners John W. White and Jennifer S. Leete participated in the 42nd Annual SEC and Financial Reporting Institute Conference, which was co‑hosted by the University of Southern California’s Leventhal School of Accounting and Financial Executives International in Los Angeles. The conference featured business and accounting executives and leading professionals from the U.S. Securities and Exchange Commission, the Financial Accounting Standards Board and Public Company Accounting Oversight Board to discuss recent SEC and financial reporting issues. John is Chair of the Institute’s Advisory Board.
Publications
January 11, 2024
Cravath partners Jennifer S. Leete and John D. Buretta and practice area attorney Lindsay J. Timlin served as co‑editors of Global Investigations Review’s third edition of the “Guide to International Enforcement of the Securities Laws.” Jennifer, John and Lindsay co‑authored the introduction to the guide as well as a chapter entitled “Basic Anatomy of Enforcement Investigations in the United States.”
Jennifer S. Leete is a member of the Investigations and Regulatory Enforcement Practice. She is a former Associate Director in the Division of Enforcement at the Securities and Exchange Commission (SEC), where she served for more than 20 years.
Ms. Leete represents public and private companies, financial institutions, auditors, audit committees, boards of directors, executives and board members in connection with sensitive and complex investigations, enforcement and regulatory matters. She also conducts internal investigations on behalf of board committees and companies and advises clients on corporate governance and regulatory compliance issues.
As a Senior Officer and member of the Division of Enforcement’s leadership team, Ms. Leete supervised a broad range of highly complex investigations and enforcement actions, managed a team of approximately 50 attorneys and collaborated closely with the SEC’s regulatory divisions. She regularly coordinated the resolution of matters with other authorities, including the Department of Justice, the Commodity Futures Trading Commission, state securities regulators, international securities regulators and self‑regulatory organizations, including the Financial Industry Regulatory Authority and Public Company Accounting Oversight Board.
During her tenure at the SEC, Ms. Leete investigated, supervised and filed enforcement actions involving financial fraud and disclosure violations at public companies, as well as misconduct at major broker‑dealers, investment advisers, auditing firms, private funds and self‑regulatory organizations. She also led investigations in emerging areas of the securities laws, including issues related to ESG, digital assets and cryptocurrencies, SPACs and Regulation Best Interest, in addition to insider trading, internet and offering frauds, and Ponzi schemes.
Ms. Leete joined the SEC in 1999 as a Staff Attorney in the Division of Enforcement. She became a Branch Chief in 2003 and an Assistant Director in 2010. She is a recipient of the Capital Markets Award, the Chairman’s Award for Excellence and several Division Director Awards. Prior to joining the SEC, Ms. Leete was a litigator in private practice in Washington, D.C.
Benchmark Litigation has named Ms. Leete a “Litigation Star” for New York. In addition, Lawdragon has selected Ms. Leete as one of the “500 Leading Lawyers in America” and “500 Leading Litigators in America,” and The Legal 500 US has recommended her for her work in white collar criminal defense. Ms. Leete has also been named as one of the country’s top enforcement lawyers by Securities Docket.
Ms. Leete is the Managing Editor of the 2023 edition of the Practising Law Institute’s SEC Compliance and Enforcement Answer Book, for which she also contributed three chapters.
Ms. Leete received a B.A. in 1990 from the College of William & Mary and a J.D. in 1993 from the University of Maryland School of Law, where she was the Managing Editor of the Maryland Law Review. After graduation, she served as a law clerk to Hon. Lawrence F. Rodowsky of the Court of Appeals of Maryland.
Ms. Leete represents public and private companies, financial institutions, auditors, audit committees, boards of directors, executives and board members in connection with sensitive and complex investigations, enforcement and regulatory matters. She also conducts internal investigations on behalf of board committees and companies and advises clients on corporate governance and regulatory compliance issues.
As a Senior Officer and member of the Division of Enforcement’s leadership team, Ms. Leete supervised a broad range of highly complex investigations and enforcement actions, managed a team of approximately 50 attorneys and collaborated closely with the SEC’s regulatory divisions. She regularly coordinated the resolution of matters with other authorities, including the Department of Justice, the Commodity Futures Trading Commission, state securities regulators, international securities regulators and self‑regulatory organizations, including the Financial Industry Regulatory Authority and Public Company Accounting Oversight Board.
During her tenure at the SEC, Ms. Leete investigated, supervised and filed enforcement actions involving financial fraud and disclosure violations at public companies, as well as misconduct at major broker‑dealers, investment advisers, auditing firms, private funds and self‑regulatory organizations. She also led investigations in emerging areas of the securities laws, including issues related to ESG, digital assets and cryptocurrencies, SPACs and Regulation Best Interest, in addition to insider trading, internet and offering frauds, and Ponzi schemes.
Ms. Leete joined the SEC in 1999 as a Staff Attorney in the Division of Enforcement. She became a Branch Chief in 2003 and an Assistant Director in 2010. She is a recipient of the Capital Markets Award, the Chairman’s Award for Excellence and several Division Director Awards. Prior to joining the SEC, Ms. Leete was a litigator in private practice in Washington, D.C.
Benchmark Litigation has named Ms. Leete a “Litigation Star” for New York. In addition, Lawdragon has selected Ms. Leete as one of the “500 Leading Lawyers in America” and “500 Leading Litigators in America,” and The Legal 500 US has recommended her for her work in white collar criminal defense. Ms. Leete has also been named as one of the country’s top enforcement lawyers by Securities Docket.
Ms. Leete is the Managing Editor of the 2023 edition of the Practising Law Institute’s SEC Compliance and Enforcement Answer Book, for which she also contributed three chapters.
Ms. Leete received a B.A. in 1990 from the College of William & Mary and a J.D. in 1993 from the University of Maryland School of Law, where she was the Managing Editor of the Maryland Law Review. After graduation, she served as a law clerk to Hon. Lawrence F. Rodowsky of the Court of Appeals of Maryland.
Benchmark Litigation
Lawdragon
The Legal 500 US
Activities
November 14, 2024
On October 24, 2024, Cravath hosted its sixth annual Global Enforcement Forum at its offices in New York. The event brought together investigations and regulatory lawyers from the Firm and leading foreign firms across the globe for a series of panel discussions and roundtables examining significant developments in enforcement.
Activities
November 07, 2024
On November 6, 2024, Cravath partner Jennifer S. Leete participated in Securities Docket’s 2024 Securities Enforcement Forum in Washington, D.C. The event convened current and former senior SEC officials, securities enforcement and white-collar attorneys and in-house counsel and compliance executives to discuss critical topics in securities enforcement, including cryptocurrency, whistleblowers, financial and accounting fraud, the impact of artificial intelligence and more. Jennifer spoke on a panel entitled “Minding Your Ks and Qs: The Latest Issues and Developments in Financial Reporting Fraud.”
Activities
June 26, 2024
Cravath partners Mark I. Greene and Jennifer S. Leete spoke at Stanford Law School’s 29th Annual Directors’ College, which was held from June 24‑26, 2024, in Stanford, CA.
Activities
June 11, 2024
On June 6, 2024, Cravath partners John W. White and Jennifer S. Leete participated in the 42nd Annual SEC and Financial Reporting Institute Conference, which was co‑hosted by the University of Southern California’s Leventhal School of Accounting and Financial Executives International in Los Angeles. The conference featured business and accounting executives and leading professionals from the U.S. Securities and Exchange Commission, the Financial Accounting Standards Board and Public Company Accounting Oversight Board to discuss recent SEC and financial reporting issues. John is Chair of the Institute’s Advisory Board.
Publications
January 11, 2024
Cravath partners Jennifer S. Leete and John D. Buretta and practice area attorney Lindsay J. Timlin served as co‑editors of Global Investigations Review’s third edition of the “Guide to International Enforcement of the Securities Laws.” Jennifer, John and Lindsay co‑authored the introduction to the guide as well as a chapter entitled “Basic Anatomy of Enforcement Investigations in the United States.”
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