Financial Services Regulation: Banking (Enforcement & Investigations)
USA Guide 2024 : USA - Nationwide
Band 2
About
Provided by Skadden, Arps, Slate, Meagher & Flom LLP & Affiliates
The Financial Institutions Regulation and Enforcement Group at Skadden regularly advises on the full range of regulatory, enforcement and legislative matters affecting banks, thrifts, securities firms, funds, nonbank lenders, insurance companies and other financial services firms. We represent global financial institutions on cross-border compliance and enforcement matters, including examinations, internal investigations, voluntary disclosures, and the resolution of administrative and enforcement proceedings involving federal and state regulatory agencies and law enforcement. Our attorneys are experienced in a wide variety of matters involving cross-border anti-money laundering, economic sanctions, banking secrecy and data protection compliance matters.
Skadden was named The American Lawyer’s 2018 White Collar/Regulatory Litigation Department of the Year. We were named Financial Services Regulatory Team of the Year at the 2017 International Financial Law Review Americas Awards, and we received a 2017 Chambers USA Award for Excellence for having the nation’s top Securities and Financial Services Regulation practice. Skadden was once again one of only five firms recognized in the Sanctions Law Firm of the Year — USA category at the WorldECR 2017 awards.