ABA SRO and States Subcommittee Presents:

FINRA 2020 Exam and Enforcement Priorities Roundtable  

Friends and Colleagues: 

The SRO and States Subcommittee of the ABA Securities Litigation Committee is pleased to announce its upcoming program, "FINRA 2020 Exam and Enforcement Priorities Roundtable."

The program will feature the following panelists:

Carrie Bechtold , Senior Managing Counsel at Wells Fargo Advisors;
Darya Geetter, Head of US Securities Regulatory Affairs at UBS;
Bari Havlik, Executive Vice President of Member Supervision at FINRA;
Jessica Hopper, Head of Enforcement at FINRA;
Andrew Lipton , Executive Director of Regulatory Relations at Morgan Stanley; and
Taryn Shelton , Associate General Counsel at UBS Wealth Management.


Wednesday, January 29, 2020
3:00 pm - 4:30 pm
Morgan Lewis, 101 Park Avenue, 39th Floor, New York, NY
 

CLE credits in NJ (via reciprocity) and NY are currently pending approval 

Please RSVP to [email protected] .

Limited seating is available. Participants via telephone must register and may use the dial in information below. 

Dial In Information:

Dial in: 1-866-203-0920
Conference Code: 617-951-8485

If you are not already a member of the ABA Section of Litigation, we urge you to consider joining .  
Subcommittee Co-Chairs

David C. Boch
Morgan, Lewis & Bockius, LLP
One Federal Street
Boston, MA 02110-1726
617.951.8485

Christian J. Cannon
AXA Equitable Life Insurance Company
8501 IBM Drive, Suite 150-D
Charlotte, NC 28262-4333
704.341.6678

Andrew W. Sidman
Bressler, Amery & Ross, P.C.
17 State Street
New York, NY 10004
212.510.6916

Lara Thyagarajan
Senior Vice President and Counsel to the Head of Enforcement
FINRA
200 Liberty Street
New York, NY 10281
212.858.4176