Mark is a partner in the national office at Crowe. His primary responsibilities include supporting the audit and assurance business unit on technical accounting questions and issues related to the rules and regulations of the U.S. Securities and Exchange Commission (SEC). In this role, he devotes significant effort to the firm’s SEC audit function and to resolving complex and unique accounting and financial reporting matters. Prior to joining Crowe, Mark served in the SEC’s Division of Corporation Finance in the Office of the Chief Accountant as an associate chief accountant.
Mark also devotes substantial time to serving the profession, including representing Crowe on the Center for Audit Quality’s SEC Regulations Committee and Auditor Reporting Task Force as well as the planning committee for the annual AICPA & CIMA Conference on SEC and PCAOB Developments.