Advises U.S. and international financial institutions and foreign sovereigns on full range of U.S. bank regulatory matters and legislation, including: Dodd-Frank Act requirements, restructurings, corporate governance and investments; corporate transactions, including M&A, asset sales, privatizations, capital markets transactions, joint ventures and strategic alliances; and internal investigations and in enforcement proceedings involving federal banking agencies.
Member of the Bar in the District of Columbia. Previous co-chair, ABA Banking Law Subcommittee on International Banking.
Joined firm, 1995; became partner, 2003. JD, with honors, Law Review comment editor, University of Chicago (1994); AB, cum laude, Princeton University (1989).