John's practice includes regulatory intervention, regulatory compliance and enforcement prevention, regulatory relations, legislative relations, expert witness testimony, strategic planning, corporate governance and mergers and acquisitions.
Experience — Negotiated and drafted acquisition documents for community bank transactions.
Defended numerous federal and state regulatory investigations and enforcement orders.
Negotiated and drafted numerous marketing and servicing agreements on behalf of third party service providers of financial institutions.
Facilitated numerous strategic planning processes for boards of directors and executives of community banks.
Acted as expert witness on bank governance and securities fraud litigation in federal and state litigation and FINRA arbitrations.