American Bar Association. Admitted to practice in New York.
Partner and head of Sydney office. Advises numerous U.S. and non-U.S. corporations, broker-dealers and non-U.S. governments on a wide range of securities, M&A, bank finance, project finance, privatization, liability management, venture capital and joint venture transactions. Has advised extensively on M&A and on corporate governance, U.S. securities law compliance, particularly matters arising under SEC’s cross-border tender offer rules, the Sarbanes-Oxley Act and related SEC and U.S. stock exchange rules.
University of Pittsburgh Law School (J.D., 1990), Rutgers University (B.A., 1985).