Vice Chair of ABA Banking Law Committee SIFI Subcommittee; NYCBA, Banking Law Committee member
Partner since 2009. Member of S&C’s Financial Services Group. Represents U.S. and non-U.S. institutions on regulatory, corporate and transactional matters, including the Volcker Rule, consequences of being designated systemically significant, interplay of U.S. and non-U.S. regulatory changes, restructuring global businesses in light of shifting regulatory requirements and standards, the Federal Reserve’s enhanced prudential standards, and the OCC’s guidelines establishing heightened standards for large banking organizations.
University of Chicago Law School (JD 2000), University of Georgia (AB 1996).