My professional background and experience are unusually diverse. I'm is one of the few attorneys to have served as a prosecutor, regulator, in-house attorney at multi-national financial services institutions and as a corporate consultant with a leading forensic accounting and advisory firm. While I've never worked in an AmLaw 200 firm, I have had training at top government agencies and multi-national corporations. I started by career in the Manhattan District Attorney's office, then went to the Securities Exchange Commission. At both places I held supervisory roles. After the SEC, I held senior roles in the compliance and legal departments at top financial companies, including Prudential Securities, Deutsche Bank, Bank of America, Moody's and JPMorgan Chase. I currently concentrate my practice on white collar defense, internal and regulatory investigations and financial services compliance.