Asia-Pacific
Practice Areas
Capital Markets (Financial Transaction Regulations, Disclosure, Equity Finance); Crisis Management / Compliance (Internal Investigations, White Collar Crime, Corporate Misconduct Defense, Whistleblowing); Financial Regulation (Financial Instruments Business, Fintech); Sustainability / Environmental Law (Sustainability); M&A (Start-Ups); Restructuring (Rescue Financing)
Career
Background
The University of Tokyo (LL.B., 2005); The University of Tokyo, School of Law (J.D., 2007); New York University School of Law (LL.M, 2014) New York University Stern School of Business (Advanced Professional Certificate in Law and Business (APCLB), 2014); Ashurst London (2014-2015); assigned to the Planning and Management Division (as Deputy Director), Executive Bureau, Securities and Exchange Surveillance Commission, as a fixed-term government employee Financial Services Agency (2017-2018); assigned to the Lawsuit Office (as Deputy Head), Planning and Management Division, as a fixed-term government employee Financial Services Agency (2017-2018); assigned to the Disclosure Inspection Division (as Inspection Administrator), Financial Services Agency as a fixed-term government employee (2017-2018)
Professional Memberships
admitted in Japan, 2008; New York, 2015; Chartered Member of the Securities Analysts Association of Japan, 2018; Certified Fraud Examiner(CFE), 2019