Financial Services Regulation: Banking (Compliance)
USA - Nationwide
3 years ranked
Provided by A&O Shearman
Lena focuses on advising U.S. and non-U.S. banks and other financial institutions on a broad range of U.S. bank regulatory, transactional and compliance matters arising under U.S. banking laws and regulations, including permissible activities and investments, control issues, affiliate and insider transactions, internal corporate reorganizations, new charter and other regulatory applications, corporate governance and supervisory matters.
She also advises on financial regulatory matters related to cryptocurrency and other digital asset activities.
Prior to joining the firm, Lena served as Managing Director and Chief Bank Regulatory Counsel at BNY Mellon, where she provided strategic and regulatory advice to senior management, all lines of business and risk, compliance and other corporate functions and participated in several firm governance committees.
Prior to joining BNY Mellon, Lena was Counsel at Davis Polk & Wardwell, where her practice included advising on U.S. bank regulatory matters in connection with M&A and capital markets transactions, Dodd-Frank Act implementation, living wills, and bank and bank holding company regulatory issues.
Provided by Chambers
Lena Kiely is noted for her expertise advising clients on a variety of banking compliance and regulatory matters, with proven experience on cross-border matters.
Provided by Chambers
Lena is judicious and practical.
Lena is a trusted adviser.
She draws on her in‑house experience to blend technical advice with practical implementation.
Chambers is the leading data and intelligence partner for the legal sector.