Jason Habermeyer

Director, Compliance Regulatory Group, Charles Schwab

Jason Habermeyer is a Director at Charles Schwab & Co., Inc., and the head of Schwab’s regulatory compliance team for SEC, FINRA, and state regulatory inquiries and examinations concerning registered investment advisers and Schwab Asset Management Solutions. Jason was previously a Director in the Office of the General Counsel at PricewaterhouseCoopers LLP. Prior to moving in-house, Jason spent nearly a decade in the Division of Enforcement at the United States Securities and Exchange Commission in its San Francisco Regional Office, first as an investigative attorney and then as a trial counsel, where he investigated and litigated a broad range of matters including those involving Autonomy Corporation, Theranos, and United Commercial Bank, among others. He began his career in private practice at a law firm in San Francisco. Jason is a graduate of Brigham Young University and obtained his Juris Doctor from the University of California, Hastings College of the Law. He resides in the Bay Area with his wife and four children.