Jonathan Scott is Chief Compliance Officer at GLG, responsible for overseeing the company’s best-in-class global compliance framework. Before coming to GLG in 2017, Jonathan spent more than a decade at the U.S. Securities & Exchange Commission, serving most recently as an Assistant Regional Director in the Division of Enforcement and the Foreign Corrupt Practices Act Unit. In that role, he supervised a team of professionals investigating potential FCPA violations, as well as insider trading, accounting and disclosure frauds, offering frauds and broker-dealer and investment adviser misconduct. Prior to joining the SEC, Jonathan was an attorney at the law firm Fried Frank and clerked for U.S. District Court Judge Stanley Sporkin.
Jonathan received his JD summa cum laude from the Washington College of Law at American University and received a BS in Journalism from Boston University.