Drawing on my work in private practice with buy-side firms and in-house with investment banks, I provide legal advice in relation to derivatives and structured finance transactions, prime brokerage, securities financing transactions and asset custody arrangements to global financial institutions and investment funds.
I also provide financial services regulatory advice on matters such as the current international derivatives and margin reform, and securities financing transactions. I acted as a key contact for international financial institutions and clients during the last financial crisis.
What others say…
We’ve known Ron for a long time, and consistently get great insights into the banks we’re dealing with and the various contracts and regulation that we have to navigate.
Ron is super-responsive, friendly, and mindful of costs. A great help.