Paula Shaffner represents financial institutions in virtually all aspects of their business, particularly in litigation and regulatory matters. Her practice is concentrated in litigation and investigations involving the financial industry, including securities litigation and regulatory matters. Ms. Shaffner regularly represents banks, brokerage firms , hedge funds, investment advisers and brokers. She defends members of the financial services industry in all types of litigation and also handles internal investigations and enforcement actions. Ms. Shaffner is designated by FINRA and the Wharton School of the University of Pennsylvania as a Certified Regulatory and Compliance Professional.
Listed skills include Securities, Arbitration, Courts, Litigation, and 20 others.