Banking & Finance Advisory Board
The attorneys on this board collectively represent many years of quality work across the banking and finance sector, both in the service they provide their clients and in the government regulatory background they share. In uncertain economic times, they provide a means of understanding the changes taking place in financial services and the impact those changes have on their clients.
Name, Title, Firm |
Area of Specialty |
Russell J. Bruemmer Partner; Chair, Financial Institutions Practice Group Wilmer Cutler Pickering Hale and Dorr LLP |
Regulatory, Enforcement, Transactional & Corporate Governance for Financial Institutions |
John T. Collins Partner Steptoe & Johnson LLP |
Congressional Oversight & Investigations; Corporate, Securities, & Finance; Troubled Asset Task Force |
John L. Douglas Partner Davis Polk & Wardwell LLP |
Financial Institutions, Mergers, Acquisitions, Recapitalizations, Regulation and Enforcement |
Edward D. Herlihy Partner Wachtell, Lipton, Rosen & Katz |
complex bank and financial institution mergers and acquisitions and recapitalizations |
C.F. Muckenfuss III Partner Gibson, Dunn & Cructher LLP |
Financial Institutions; Administrative Law and Regulatory Policy; Public Policy |
John C. Murphy, Jr. Managing Director of Promontory Financial Group Chief Executive Officer of Promontory Regulatory Analytics |
Regulatory, risk, controls, compliance, governance, capital and liquidity issues. |
Brian W. Smith Partner Latham & Watkins LLP |
Banking and Financial Institutions - Transactions and Regulation; Consumer Financial Services; Payments |
Stuart C. Stock Partner Covington & Burling LLP |
Financial Institutions; White Collar Defense & Investigations; Financial Services Litigation |
Thomas P. Vartanian Partner Dechert LLP |
Corporate; Financial Institutions, Financial Services Task Force |
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