Financial Services Regulation: Banking (Compliance)
USA - Nationwide
12 years ranked
Provided by Sullivan & Cromwell LLP
General Practice
Bank Regulatory
Commodities, Futures & Derivatives
Financial Services
Investment Management
Camille Orme is Deputy Managing Partner of the Firm’s Financial Services Group. Ms. Orme advises U.S. and non-U.S. financial institutions on a wide range of U.S. banking laws and regulations. Recent areas of focus include bank merger policy, restructuring global businesses in light of shifting regulatory requirements and standards, bank corporate governance matters, the Volcker Rule, the FDIC’s brokered deposits regulations, bank ownership and control matters, national bank preemption, and permissibility of bank activities. Ms. Orme’s regulatory practice also includes the affiliate transaction rules, restrictions on insider transactions, restrictions on depository institution management interlocks, and broker-dealer push-out. She also advises banks on supervisory matters, regulatory investigations and enforcement actions.
ABA (Co-Chair, SIFI Subcommittee of the Banking Law Committee)
University of Chicago Law School (J.D., 2000); University of Georgia (A.B.,1996).
Provided by Chambers
Camille Orme is deputy managing partner of the firm’s financial services group. She is a respected practitioner of bank regulatory law. She is particularly knowledgeable regarding the regulatory aspects of the Dodd-Frank Act, including Volcker Rule compliance.
Provided by Chambers
I'm not talking to a client without Camille in the room.
Camille brings incredible experience to bear.
Chambers is the leading data and intelligence partner for the legal sector.