Banking

Our attorneys represent financial institutions and other related financial services companies on legal matters with regard to regulatory, corporate and securities issues arising under state and federal laws and regulations. We serve as general and special counsel to national and state chartered banks, thrifts and holding companies of all sizes.  We also represent clients in numerous other financial service related businesses, such as payment processing, investment banking, mortgage banking, cyber-security consultancy, insurance agency/brokerage, investment advisory and brokerage, and others. 

We assist clients with acquisition and sales transactions, corporate and business consulting, strategic planning, capital formation, bank and subsidiary formation, regulatory compliance, and state and federal securities issues, all of which require compliance with complex federal and state laws and regulations.

Our team includes former federal and state examiners, former in-house counsel with state and federal regulatory agencies, and former executives and in-house counsel at financial institutions. We also have team members who have decades of experience working with financial institutions.

Our attorneys, including those who were regulators before, during and after the financial crisis of 2008, work closely with our financial services clients and/or their in-house counsel in dealing with legal and business issues, including significant compliance issues arising from the passage of the Dodd-Frank Wall Street Reform and Consumer Protection Act.  We provide insight into the regulatory language generated by Dodd-Frank and, perhaps more importantly, in the sensible implementation of those regulations into the everyday conduct of our financial services clients, who are impacted by the legislation and resulting regulations.