Greg applies his deep experience as a government regulator in representing financial services industry clients before the Securities and Exchange Commission and various state and federal banking and securities regulatory agencies.
Gregory represents clients in a range of banking, securities, and corporate law matters.
Before joining the firm, Greg was counsel with the Office of the Comptroller of the Currency in New York, where he negotiated enforcement documents, participated in bank examinations, coordinated action with Federal Reserve and FDIC staff, and provided advice regarding supervision of banks, federal branches and agencies, and trust banks. His advice included analysis and interpretation of licensing, asset management and BSA/AML/OFAC issues. He also served the U.S. Department of the Treasury as a senior attorney in its Office of Thrift Supervision, working on federal banking, securities and corporate matters concerning savings associations and holding companies.
Greg began his legal career in Washington, D.C. with the U.S. Securities and Exchange Commission in the Division of Corporation Finance, and then with the bank fraud task force within the Division of Enforcement. That government service included a detail where Greg tried criminal cases before juries as a Special Assistant U.S. Attorney.
Representative matters may include engagements before joining Troutman Pepper.