Financial Services

Speeches & Presentations

  • "Opportunities in the Real Estate Sector," Family Office & Private Equity Dealmakers Breakfast Series, New York, NY (December 1, 2016). Moderator: Mark S. Lichtenstein.
  • "Cybersecurity, Privacy Risk Management, and Incident Response: A Private Sector Approach," Investment Adviser Association - Fall Compliance Workshop, Philadelphia, PA (October 4, 2016). Presenter: Linda Lerner.
  • "Industry in Turm-Oil: An Exploration of Financing, Workout, and Bankruptcy Issues Unique to the Oil & Gas Industry," ABA 2016 Business Law Section Annual Meeting, Boston, MA (September 9, 2016). Presenters: Scott Lessne and Jon Katchen.
  • "CFTC and NFA Cybersecurity Landscape," DC Bar, Washington, DC (May 26, 2016). Panelist: Linda Lerner.
  • "Commercial Finance for In-House Counsel and Young Lawyers - The Basics and Beyond," The Association of Commercial Finance Attorneys, New York, NY (March 2016). Presenters: Scott Lessne and Nicholas James.
  • "Asset Based Lending – Receivables Finance, Inventory Finance, Bankruptcy and Enforcement Issues," Practicing Law Institute (1998-2016). Speaker: Scott Lessne.
  • "AML/Sanctions Regulation and Enforcement Update," ABA - 2016 Banking Law Committee Meeting, Washington, D.C. (January 9, 2016). Presenter: Carlton Greene.
  • "Corporate Counsel Litigation Forum: Strategies & Trends in Effective Value-Based Billing," Crowell & Moring's Corporate Counsel Litigation Forum Webinar Series (June 23, 2015). Moderator: Jerome A. Murphy; Panelists: Robert A. Lipstein, Matthew Laws, Dr. Silvia Hodges Silverstein, and Justin Ergler.
  • "Cooperating Safely with Competitors," International Chamber of Commerce UK Compliant Collaboration Workshop, London (May 27, 2015). Presenter: Sean-Paul Brankin.
  • "U.S. Broker-Dealers Operating Under Rule 15a-6: Operating on this Side of the Pond," SIFMA Internal Auditors Society Educational Seminar, New York, NY (May 18, 2015). Presenter: Eden L. Rohrer.
  • "Issues, Advice, and Ethical Matters When Advising Financial Services Compliance Personnel,"New York County Lawyers' Association's 2015 Securities Litigation & Regulatory Enforcement Conference: Insights for the Financial Services Attorney (April 23, 2015). Moderator and panelist: Linda Lerner.
  • "This Year in Trade - What's Ahead in 2015?" Crowell & Moring Webinar (February 10, 2015). Moderator: Jeffrey L. Snyder.
  • "This Year in Trade - What's Ahead in 2015: Sanctions," Crowell & Moring Webinar (February 10, 2015). Presenters: Dr. Salomé Cisnal de Ugarte and Cari N. Stinebower.
  • "This Year in Trade - What's Ahead in 2015: Anti-money Laundering (AML)," Crowell & Moring Webinar (February 10, 2015). Presenters: Cari N. Stinebower and Emmanuel Plasschaert.
  • Co-Chairs' Opening Remarks, ACI's 5th Annual Economic Sanctions Boot Camp, New York, NY (December 3-4, 2014). Co-Host: Cari N. Stinebower.
  • "Islamic Finance: An Undiscovered Market in the United States," Malaysian-United States Chamber of Commerce Islamic Finance Panel, Washington, D.C. (November 2013). Panelist: John Vogel.
  • Islamic Finance Lawyers Panel, International Bar Association, Boston, MA (October 2013). Panelist: John Vogel.
  • "The Latest U.S. Financial Institutions Litigation and Regulatory Developments, and the Impact on FI Insurance," C5 Insurance Forum, London, England (October 2013). Presenter: Jack Thomas
  • "Fund Sales: Must the Broker Be Register?" ALI CLE Webinar (August 15, 2013). Panelist: Linda Lerner.
  • "Bank Secrecy Act and Anti-Money Launder Overview: A Primer for Transaction Counsel or 'Am I Really Supposed to Know This?'" ABA Business Law Section Spring Meeting (April 2013). Presenters: Cari N. Stinebower and Scott Lessne.