Focuses practice on bank regulation. He has extensive experience in counseling financial services clients on, among other things, bank acquisitions; privacy; financial modernization; anti-money laundering, Bank Secrecy Act, OFAC, and the USA PATRIOT Act; Basel II and III; lending limits; capital; trust; affiliate transactions; compliance; supervision; holding company issues; and Federal Reserve, OCC, FDIC, and CFPB laws and regulations.
Prior to working at large corporate law firms, he was chief regulatory and compliance counsel for Comerica Bank. Before that, he served as chief regulatory in-house counsel at Wells Fargo & Co.
Northwestern University, B.A. and J.D.