Admitted
1972, New York; 1975, District of Columbia and U.S. District Court, Southern and Eastern Districts of New York; 1976, U.S. Supreme Court; 1986, U.S. District Court for the District of Columbia
Law School
St. John's University, J.D., 1971
Law School Graduation Year
1971
College
St. John's University, B.A., 1968; Columbia University Graduate School of Business, M.S., 1981
Biographical
Co-Author: “Money Changer: The Demands of the Internet are Transforming Payment Systems — Slowly,” Legal Times, June 2001; “Bank-Owned Life Insurance: Pre-Purchase Analysis and Post-Purchase Compliance,” The Banking Law Journal, March 2001; “A Closer Look at the ‘Safe Harbor’ Principles in the U.S.-EU Agreement in Personal Data Transfers,” EuroWatch, May 2000; “Financial Modernization in the New Millennium: Implementation of the Gramm-Leach-Bliley Act,” The Banking Law Journal, October 1999. Stroock & Stroock & Lavan, Washington, D.C., 1984-1992, Managing Partner, D.C. Office. Chief Counsel and Member of Policy Group, Office of Comptroller of Currency, U.S. Department of Treasury, Washington, D.C., 1982-1984. Senior Vice President, General Counsel and Corporate Secretary, MasterCard International Inc., New York, 1974-1982; CIT Financial Corporation, New York, 1973-1974; American Express Company, New York, 1970-1973. Editor, Investment Products Deskbook, A.S. Pratt & Sons, 1995-2001. Editor, E-commerce: Financial Products and Services, Law Journal Press, 2001. (Washington, D.C. Office)