Practice focuses on regulatory, M&A, enforcement, strategic and governance matters affecting financial institutions, domestically and internationally. Advises financial institutions, boards of directors, investors, foreign governments, industry groups and others.
Joined firm, 1977; Partner, 1982-1984, 1987-2011. General Counsel, FDIC, 1984-1987. Managing Director, Promontory Financial Group LLC and CEO, Promontory Regulatory Analytics LLC, 2011-2016. Re-joined firm as Senior Counsel, 2017. JD, cum laude, University of Pennsylvania Law School; Editor, University of Pennsylvania Law Review; AB, cum laude, Georgetown University.