practiced corporate law at Pillsbury Winthrop and Hogan Lovells where she represented corporations and financial institutions in the areas of public and private securities offerings, mergers & acquisitions, securities lending and options trading programs, and general corporate counseling.
She also practiced in the Office of General Counsel at the Financial Industry Regulatory Authority (FINRA) where she was responsible for rule development and implementation.
A Harvard law graduate, she is admitted to the Bar in New York and DC.
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