Overview
Andrew advises private funds, asset managers, banks, and broker-dealers on operational, regulatory, and compliance matters pertaining to the ’33, ’34, and ’40 Acts (as well as FINRA and SEC Rules). In addition, he provides guidance on U.S. bank regulatory topics including the Bank Holding Company Act and the Volcker Rule.
Prior to joining Linklaters, Andrew worked as an associate in the Financial Institution Advisory & Regulatory Group of another large New York law firm.
Education and qualifications
Andrew holds a Juris Doctor from the University of Wisconsin where he was a managing editor of the Wisconsin Law Review. He obtained an M.A. in Arab and Hebrew Cultures from the Universidad de Granada and earned his A.B. in Political Science from the University of Chicago.