Senior Government Affairs Analyst
Current• Writes and publishes the S&C Financial Services Digest, a weekly publication detailing key regulatory, legislative, and legal developments affecting the financial services industry that is distributed to S&C financial services clients and attorneys. • Interprets and sends updates to attorneys and clients regarding financial services regulatory reform issues, including: bank capital and bank holding company regulations; securities and broker-dealer law and regulation; commodities, futures, and derivatives regulation; BSA/AML regulation and reform; housing finance reform; and consumer protection law and compliance. • Drafts and reviews client publications on various financial services topics.• Evaluates and drafts regulatory risk analyses on various public company disclosure documents. • Maintains and files lobbying disclosure (LDA) reports on behalf of the Firm.• Manages workflow and reviews work from two paralegals.