Katherine Wu is the Director of Business Development and Community Management at Messari, a New York-based crypto startup aimed at promoting transparency and smarter decision-making in the cryptoasset industry. Prior to Messari, Katherine has worked at Bank of China, the U.S. Securities and Exchange Commission (SEC), Bank of America, and the U.S. State Department. Katherine holds a J.D. law degree from Benjamin N. Cardozo School of Law and a B.A. in International Relations from Johns Hopkins University. She grew up moving between in Hong Kong and mainland China and has native fluency in Mandarin Chinese.
Carla is a Securities & Regulatory Affairs attorney & former Senior Counsel SEC. She currently serves as Senior Managing Counsel at a robo-advisor in Redwood City, California. Carla was previously Senior Counsel at the United States Securities and Exchange Commission serving in a number of capacities including as a top government affairs aide to former SEC Chair Mary Jo White. During her tenure with the SEC, she led teams in the FinTech space with respect to policy, rulemakings, and market operations and advised as to the potential application of securities regulations to virtual currency.
Tony is a Silicon Valley based entrepreneur and legal informatics researcher at Stanford Law School, where he co-chairs the Blockchain Group. As the CEO and Co-Founder of Legal.io, Tony leads a team of lawyers, engineers, and designers building and deploying A.I., blockchain, and customer experience solutions for the legal industry. Prior to his time in Silicon Valley, Tony practiced law for 5 years in the London and Hong Kong offices of Herbert Smith, advising companies, public sector bodies and charities on regulatory, transactional and IP issues. In 2017, Tony was appointed for a 3 year term to the American Bar Association’s Standing Committee on the Delivery of Legal Services. Tony holds Bachelors and Masters Degrees from Oxford University, and graduated from Stanford University with a Masters in Law, Science and Technology.
Scott is a member of the Distributed Ledger Technology Working Group. His primary focus is on Investment Advisers and Investment Companies. Prior to his work as a regulator, Scott was a Corporate Counsel at Barclays and BlackRock. Before joining the Commission, Scott’s practice focused on Derivatives and Securities Finance transactions, and Hedge Fund Strategy. Scott earned his J.D. from Mortiz College of Law at the Ohio State University in 2007.