Financial Services & Securities National Practice Section
FMG's Financial Services & Securities National Practice Section is a multi-disciplinary team of professionals who represent financial institutions, as well as financial professionals, in a wide spectrum of transactional, regulatory, and litigation-related matters. Our professionals understand the financial services industry and their practice includes fiduciary litigation and counseling in emerging areas of law such as data security and privacy issues, financial elder abuse, and guidelines issued by the Consumer Financial Protection Bureau (CFPB).
The group's attorneys have represented clients ranging from community banks to money-center financial institutions, including commercial banks and savings institutions, finance companies, credit card issuers, trust companies, investment advisors, broker-dealers, credit unions, mortgage originators, and insurance companies. Our team includes former in-house counsel, CPAs, SEC officials, and chief compliance officers who have decades of experience in all aspects of financial services CTA matters.
Please meet the members of our Financial Services & Securities National Practice Section.