Bank Supervision and Regulation Expert Witness

Bank Supervision and Regulation Expert Witness

Bank Supervision and Regulation | E-071818

Expert Qualifications

This banking and regulatory expert is currently a Partner in the New York Office of a global law firm. He has over 45 years of industry experience, including 30 years at the Federal Reserve Bank of New York serving as General Counsel, Chief Operating Officer and First Vice President. In that capacity, he served as an alternate member of the Federal Open Market Committee and as a staff member of the President's Working Group on Financial Markets. The expert left the Fed in 1998 to become General Counsel at AIG, a position he held from 1998 until 2006. He has a B.A. in Economics from the University of Massachusetts and a J.D. from Cornell University Law School.

Bio Snapshot

Location: NY

B.A., Economics, University of Massachusetts

J.D., Cornell University Law School

Admitted, New York State Bar

Member, Executive Committee of the Banking Law Committee of the Federal Bar Association

Member, Association of the Bar of the City of New York

Member, American Bar Association & New York State Bar Association

Member, International Law Association

Member, Council on Foreign Relations

Member, The Economics Club of New York

President, Center for Transnational Legal Studies

Contributor, Bloomberg, CNBC and Fox Business News

Principal Drafter, U.S. International Banking Act of 1978

Author, 20+ Publications

Former, First Vice President and Chief Operating Officer, Federal Reserve Bank of New York

Former, General Counsel, AIG

Former, Head of the Regulatory Practice, Pillsbury Winthrop Shaw Pittman

Current, Partner, major firm

Served as an expert in civil litigation

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