27 May 2013

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Experience and career history

Head of the US Regulatory Group of Clifford Chance. Over twenty years of experience providing strategic advice to multinational financial institutions. His practice encompasses compliance with federal and state banking and securities regulations; structuring acquisitions and investments; and representing clients before regulatory agencies in connection with mergers and acquisitions, reorganisations, investments, licensing issues, and internal investigations.

Harvard University (ALB) 1983
Boston College Law School (JD) 1986
New York University School of Law (LLM) 1990

Publications