Laura Graham is a Director in Financial Services Compliance and Regulation with a background in law. Trained in New York, they have experience in commercial litigation, particularly in securities litigation involving complex financial products. Previously, Laura worked as an Associate at Mayer Brown, representing various corporate clients in significant commercial cases, and held roles at Goldman Sachs in Regulatory Audits and Inquiries. They also served as a Legal Advocate in New York Law School's Securities Arbitration Clinic, providing free legal representation to investors. Laura holds a BA in History from Queen's University, a JD from New York Law School, and an LLM in International Business/Trade Law from Fordham University School of Law.
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