Counsels large and small banks, investors and other financial services firms in connection with transactional, regulatory, compliance and enforcement matters. Helps financial institutions resolve examination and enforcement concerns. Active working with financial technology firms. Advises clients on changing regulatory requirements. Represents clients before all of the major financial services regulatory agencies, including the Federal Reserve, FDIC, OCC, Department of the Treasury, state banking agencies, and securities regulators.
J.D., The George Washington University, 2002 (with honors; Member, The George Washington Law Review); B.S., University of Virginia, 1999 (McIntire School of Commerce, Finance).