Admitted
1971, Illinois; 1980, Colorado; 1982, U.S. Court of Appeals, Tenth Circuit and U.S. District Court, Northern District of Illinois; 1985, California. (Not admitted in Michigan)
Law School
Northwestern University, J.D., 1971
Law School Graduation Year
1971
College
Northwestern University, B.A., with honors, 1967
Memberships
State Bar of California; American Bar Association (Member, Financial Institutions Subcommittee of the Regulated Industries Committee of the Antitrust Law Section, 1973; Chairman, Securities Subcommittee, 1990— and Vice Chairman, 1997—, Banking Law Committee, Business Law Section; Vice Chairman, Banking Law Committee of the Administrative Law Section, 1975-1980).
Biographical
Phi Alpha Delta. Author: Bank Holding Company Regulation, Banking Law Journal, September-October, 1984; Talking About Compliance, American Banker, 1989; Some Practical Suggestions for Improving CRA Performance, Banking Law Review, 1990. Attorney, 1971-1974 and Senior Attorney, 1974-1978, Board of Governors of the Federal Reserve System. Associate, Pope, Ballard, Shepard & Fowle, Ltd., Chicago, Illinois, 1980-1984. Senior Vice President, Assistant General Counsel and Director of Government Affairs, First Interstate Bancorp, Los Angeles, California, 1984-1996. Vice President and Senior Counsel, Wells Fargo Bank, N.A., Los Angeles, California, 1996-1999. Member: Lawyers Committee, Association of Bank Holding Companies, 1979—; Federal Government Relations Committee, California Bankers Association, 1988—; Lawyers Committee, Consumer Bankers Association, 1987—. Member, Money Laundering Task Force, American Bankers Association.