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Orion Mountainspring Partner

New York

Orion’s practice has a special focus on representing warehouse lenders and borrowers, forward flow and static pool loan purchasers, as well as issuers, underwriters, and investors in designing bespoke financial transactions in the capital markets.

He covers public and private conduit and term transactions backed by structured asset classes. These encompass a diverse array of financial instruments, ranging from consumer loans and residential mortgages to commercial mortgages, student loans, solar loans, marketplace lending, auto loans, credit cards, shipping, and municipal bonds.

Notably, Orion has structured creative solar securitization programs, underscoring his commitment to innovative solutions within the industry.

Before joining Orrick, Orion was a partner in Chapman and Cutler's Asset Securitization Department. Earlier in his career, he spent time at a major investment bank and was an analyst at one of the top three rating agencies.

434078

Practice:

  • Financial & Fintech Advisory
  • Strategic Advisory & Government Enforcement (SAGE)
  • Fintech

Jeremiah Buckley Partner

Washington, D.C.

Jerry is a thought leader in the field of financial services regulation. He co-hosts RegFi, a weekly podcast series, that explores how financial regulation will change more in the next 10 years than in the last 50: https://www.orrick.com/en/Podcasts/RegFi.

Early in his career, Jerry served as Minority Staff Director of the United States Senate Banking Committee, and he played an important role in drafting many of the laws that impact the consumer financial services industry today. Since entering private practice, he has guided clients in developing compliance programs, dealing with regulatory and enforcement challenges and helping shape public policy.

Throughout his career, he has focused on promoting enhanced delivery of financial services. He was a leader in advocating the passage of the federal ESign Act, which authorized use of electronic records in financial services and other transactions. He served as counsel to the Drafting Committee for Standards and Procedures for Electronic Records and Signatures (SPeRS). He co-authored The Law of Electronic Records and Signatures (West Publishing Company) as well as Introduction to Mortgage Banking (American Bankers Association).

He has also taken a lead in promoting national data protection standards. His American Banker article, “Congress needs to hurry up on data protection,” lays out the case for national standards as an alternative to a patchwork of state privacy laws. He serves as advisor to the Financial Services Trade Associations Data Protection Working Group, an informal alliance of national financial trade associations responding to fast changing legislative and regulatory developments related to privacy and data security. He is also an advisor to the Association for Data and Cyber Governance (ADCG) and the Alliance for Innovation in Regulation (AIR).

His clients include banks, mortgage companies, credit card issuers, insurance companies, broker dealers, fintech companies, investment banks and private equity investors. Jerry provides strategic counsel and advice on business formations and acquisitions, licensing and chartering, risk management and enforcement matters involving federal and state regulators.

He has defended companies that are targets of inquiries or enforcement actions by the Office of the Comptroller of the Currency (OCC), Federal Deposit Insurance Corporation (FDIC), Federal Reserve, Consumer Financial Protection Bureau (CFPB), Federal Trade Commission (FTC), Department of Housing and Urban Development (HUD), Congressional Committees and state attorneys general.

Jerry has promoted a modernized approach to financial regulation (regtech). He led Buckley LLP's effort to publish a widely read white paper titled “Financial Regulators’ Dilemma: Administrative and Regulatory Hurdles to Innovation.” The paper is based on interviews with Heads of Innovation at the principle financial agency regulators, and lays out legal and administrative stumbling blocks identified by regulators themselves impeding regtech advances.

Jerry's opinion pieces regularly appear in financial service publications. He has advocated for development of “dynamic disclosures” to offer more useful information to consumers than is provided under the often cumbersome and voluminous static disclosures currently provided.

An article he wrote in the American Banker in 2016, “The Compliance Officer Bill of Rights,” focused attention on the growing risks faced by compliance officers. This led to a symposium on “Rights and Responsibilities of Today’s Chief Compliance Officers — Their Evolving Role,” which was chaired by Jerry and sponsored by American University Washington College of Law. Chief compliance officers from the nation’s leading companies participated in this seminal discussion about how to define and make safe the job of a chief compliance officer.

He has acted as counsel for a number of national financial services trade associations on matters before regulatory agencies and Congress, and in filing amicus briefs related to the interpretation of banking and consumer finance laws in cases before the U.S. Supreme Court and appellate courts.

He is an Adjunct Associate Professor of Law at American University's Washington College of Law. In 2007, he founded a national financial services consulting company known as Treliant Risk Advisors.

In 2015 he was awarded the Senator William Proxmire Lifetime Achievement Award from the American College of Consumer Financial Services Lawyers.

398111

Practice:

  • Intellectual Property
  • Technology & Innovation

Isaac Sawlih Behnawa Managing Associate

Los Angeles

Isaac draws upon his technical background in contextualizing complex issues into the elements of legal claims. He has represented some of the world’s largest and most innovative companies in cases involving technologies including video-on-demand, tax depreciation and deferred tax software, and gaming systems. He also has assisted in prosecuting several patents, has advised on AI-related business strategy, and has worked on cases involving patented designs, false advertising, unfair competition, computer hacking, and securities fraud.

Prior to joining Orrick, Isaac served in the U.S. Navy and the U.S. Army National Guard.

Isaac is also an enthusiastic participant in Orrick's pro bono efforts. He has drafted international law memoranda, assisted in various civil rights litigation efforts for large pro-bono clients, analyzed noteworthy qualified immunity decisions to determine whether an appeal is necessary, and helped refugees with immigration paperwork.

740

Practice:

  • White Collar, Investigations, Securities Litigation & Compliance
  • Internal Investigations
  • Securities Litigation, Class Actions and Shareholder Derivative Lawsuits
  • Trials
  • Strategic Advisory & Government Enforcement (SAGE)

Amy Ross Chief Practice Officer Litigation and Litigation Counsel

San Francisco

As Chief Practice Officer of the Strategic Advisory & Government Enforcement Business Unit, which encompasses attorneys with litigation, regulatory, transactional and legislative policy backgrounds in 18 Orrick global markets, Amy advises on the strategic planning, operation and management of the Unit. Her responsibilities include oversight of the Unit's financial performance, advancement of the Unit’s strategic initiatives, business planning and execution.

Amy's practice focuses on the representation of public companies, directors and officers in securities class actions, SEC and DOJ investigations and enforcement actions and shareholder derivative actions. She has extensive experience in litigation involving compliance breaches of fiduciary duty and securities law violations, and she has conducted dozens of corporate investigations of all types all over the world. 

Amy has represented the following companies and/or individuals associated with the following companies: McKesson Corporation, Brocade Communications Systems, Inc. and Olympus Corporation.
328628

Practice:

  • Employment Law & Litigation

Katie E. Briscoe Partner

Sacramento

Katie collaborates with employers to resolve challenging litigation and avoid risky compliance issues. She defends employers against PAGA, class, multi-plaintiff, and single plaintiff actions involving a variety of claims ranging from complex wage and hour disputes to contentious discrimination and harassment claims. Katie has jury trial experience and practices before a variety of forums, including state and federal trial courts, the Ninth Circuit Court of Appeals, and private arbitration and mediation. She understands the challenges that employers face and helps them to navigate ever-changing state, federal, and local laws. Katie has significant experience litigating and advising on wage and hour issues; exempt/non-exempt classification; discrimination, harassment, and retaliation; arbitration agreements; independent contractor classification; business expense reimbursement; compensation; Section 17200, and more. She also works with clients to resolve employment disputes prior to litigation.

Katie earned her J.D. from the University of California, Davis School of Law, where she graduated Order of the Coif.

Maria Theresa Coladonato Associate

Wheeling, W.V. (GOIC)

She advises high-growth technology companies on general incorporation matters, venture capital financings and everyday corporate governance. Maria also represents venture capital firms in connection with their investments in private companies.

380099

Practice:

  • Mergers & Acquisitions
  • Private Equity
  • Capital Markets
  • Corporate Governance

Elizabeth Monro-Davies Managing Associate

London

Elizabeth advises private and listed companies with a particular focus on the Technology, Energy & Infrastructure and Finance sectors.

416674

Practice:

  • Mergers & Acquisitions
  • Technology Companies Group

Ginevra Rebecchini Senior Associate

Milan

Ginevra focuses in advising both national and international clients in corporate and commercial law matters with a focus on M&A, Venture Capital and Private Equity.

427960

Practice:

  • Energy & Infrastructure
  • Renewable Energy
  • Infrastructure
  • Energy
  • Mergers & Acquisitions

Lynette Lim Of Counsel

Singapore

Lynette represents sponsors, investors, project companies, developers, financiers and other stakeholders across the many stages in the life cycle of a project. Lynette has experience advising on a wide range of projects in jurisdictions, including Singapore, Indonesia, India, Taiwan, the Kingdom of Saudi Arabia, the United Kingdom, and Mauritius. Projects that Lynette has worked on include incineration and waste-to-energy plants, sewage treatment plants, desalination plants, domestic and cross-border railways, data centers, and solar power facilities. Lynette also regularly advises clients on general corporate and commercial legal matters.

Prior to joining Orrick, Lynette practised for about 7.5 years at a top local law firm in Singapore, during which time she was seconded for 6 months to a Magic Circle law firm in Hong Kong, where she worked on a range of private equity matters. Thereafter, Lynette practised for over 3 years in a US-headquartered international law firm in Singapore, where she was extensively involved in, amongst other things, the completion of the project financing of a public-private partnership desalination plant project and various private equity and M&A transactions in the energy, projects and infrastructure space.

382816

Practice:

  • Securities Litigation
  • Cyber, Privacy & Data Innovation
  • White Collar, Investigations, Securities Litigation & Compliance

Javier A. Silva Managing Associate

San Francisco

Javier's practice spans securities litigation, complex commercial disputes, government and internal investigations, cybersecurity and privacy matters, and regulatory enforcement actions.  In his commercial practice, Javier has represented companies and individuals in a wide range of civil disputes including claims of breach of contract, breaches of fiduciary duty, fraud, and consumer protection issues.  Javier also has experience advising executives and boards on corporate governance best practices and fiduciary and disclosure duties.

Javier joined Orrick after completing a one-year fellowship as an Orrick Fellow at the San Francisco Department of Police Accountability where he focused on criminal justice reform and analyzing Fourth Amendment issues.  

As a law student, Javier worked as a summer judicial extern in the Central District of California, and as a law clerk at the California State Assembly drafting policy and legal memoranda.

404932

Practice:

  • Technology & Innovation Sector
  • Compensation & Benefits

Taylor Ball Senior Associate

Santa Monica

Taylor’s recent sell-side experience includes having represented 

  • 21st Century Fox, Inc.* in its acquisition by The Walt Disney Company
  • E Trade Financial Corporation* in its acquisition by Morgan Stanley
  • Rockwell Collins, Inc.* in its acquisition by United Technologies Corp.
  • DPx Holdings B.V.* in its acquisition by Thermo Fisher

Her recent buy-side experience includes having represented 

  • IAC* in its acquisition of Care.com
  • French Multinational Luxury Goods Company* in its acquisition of Tiffany & Co.
  • Exact Sciences Corporation* in its acquisition of Genomic Health, Inc.
  • Hillenbrand, Inc.* in its acquisition of Milacron Holdings
*Denotes pre-Orrick experience.