Financial Services Regulation: Banking (Compliance) (Band 3)
Practice Areas: Member of Davis Polk's Financial Institutions Group. His practice focuses on bank regulatory advice, and M&A and capital markets transactions for US and non-US banks and other financial institutions. His M&A experience includes advising on private equity investments in banks and bank holding companies, including in FDIC-assisted transactions, and joint ventures involving bank holding companies and their subsidiaries. He is also experienced in advising banks and other financial institutions on corporate governance and compliance matters, bank insolvency issues, government investigations and enforcement actions, cross-border collateral transactions, and clearance and settlement systems.