Solution-focused attorney with 20+ years of diverse legal experience in banking and financial services with Fortune 500 companies
Deep knowledge of financial legislation including Investment Company Act, Investment Advisers Act and Securities and Exchange Act as well as FINRA standards; experience providing legal support for pricing strategies, contract negotiations, RFP reviews, NDA drafting, and business modeling
Expertise in advising senior management on financial risk and governance and in establishing risk mitigation strategies; additional experience in project management leading post-acquisition legal reviews and updating processes to ensure compliance
LLM in Banking Law Studies from Boston University; Undergraduate Studies in Science from the University of Beirut; Member of the NY Bar; Certified Mediator