Overview
We have the resources and knowledge to rapidly respond to a wide range of regulatory inquiries and orders. From enterprise wide assignments to product specific responses, we have the capability to assemble cross disciplinary teams to assess client needs and propose executable solutions. We are pragmatic, applying our expertise through established tools and processes, integrating our team into each client’s systems. We also regularly work with our transaction attorneys to help us meet our client’s needs, from structuring to execution. We understand bank regulator’s needs and strive to deliver them for the client.
We also understand bank and corporate governance, from the business division level to the board of directors. Our group has advised executives and directors on risk assessment and management, data aggregation, committee structure, succession, executive roles and responsibilities and governance structure. We can assess governance and provide guidance at all levels to meet regulators expectations, including under Heightened Expectations for the largest banks and safety and soundness for banks large and small.
We are also team players. Regularly pairing with other highly regarded law firms and consultants, we value cooperation and coordination to deliver seamlessly for clients. We work carefully behind the scenes to help our clients to address sensitive matters without making headlines.
Finally, we approach our engagements with a background of regulatory enforcement. Knowing the potential endgame allows us to work strategically to help you navigate these important relationships.
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- Co-head of White Collar, Regulatory Defense & Investigations; Co-head of DEI Advice, Audits & Assessments
- Co-head of Litigation and White Collar, Regulatory Defense & Investigations