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282 items matching filters

Practice:

  • Mergers & Acquisitions

Marley Brison Career Associate

Wheeling, W.V. (GOIC)

Marley focuses primarily on domestic and cross-border mergers and acquisitions, corporate governance issues, restructurings, private equity transactions, and advising on general corporate matters.

Marley also concentrates her practice on matters pertaining to private equity and alternative investment funds, representing both institutional investors and fund sponsors. On the sponsor side, Marley handles various aspects of fund formation, including communicating with investors, preparing regulatory analyses of investors, drafting fund documents, and preparing regulatory filings.

Marley was a Summer Associate with Orrick in 2016. She is a graduate of the University of Pittsburgh School of Law, cum laude, where she was the Lead Executive Editor of the University of Pittsburgh Law Review. She received her undergraduate degree from Ohio University, summa cum laude, in Journalism/Pre-Law.

Prior to joining Orrick, Marley served as a judicial intern to the Honorable David Cercone of the United States District Court for the Western District of Pennsylvania. Additionally, Marley worked as a Legal Associate at rue21, inc., focusing on real estate and general corporate matters.

Practice:

  • Mergers & Acquisitions

Marley Brison Career Associate

Wheeling, W.V. (GOIC)

Marley focuses primarily on domestic and cross-border mergers and acquisitions, corporate governance issues, restructurings, private equity transactions, and advising on general corporate matters.

Marley also concentrates her practice on matters pertaining to private equity and alternative investment funds, representing both institutional investors and fund sponsors. On the sponsor side, Marley handles various aspects of fund formation, including communicating with investors, preparing regulatory analyses of investors, drafting fund documents, and preparing regulatory filings.

Marley was a Summer Associate with Orrick in 2016. She is a graduate of the University of Pittsburgh School of Law, cum laude, where she was the Lead Executive Editor of the University of Pittsburgh Law Review. She received her undergraduate degree from Ohio University, summa cum laude, in Journalism/Pre-Law.

Prior to joining Orrick, Marley served as a judicial intern to the Honorable David Cercone of the United States District Court for the Western District of Pennsylvania. Additionally, Marley worked as a Legal Associate at rue21, inc., focusing on real estate and general corporate matters.

432805

Practice:

  • Financial & Fintech Advisory
  • Strategic Advisory & Government Enforcement (SAGE)
  • Fintech

Caroline Stapleton Partner

Washington, D.C.

Client-centered experiences are at the heart of Caroline’s practice. She has provided a wide variety of institutions, from fintech startups to multinational banks, with tailored, practical guidance that considers each company’s unique characteristics and strategic goals. Caroline draws on her prior experiences as an attorney at a federal prudential regulator and as the head of compliance at a consumer finance company to give clients a comprehensive picture of the legal risks and opportunities each new matter presents.

Her work on behalf of financial services providers has included:

  • Providing guidance regarding novel or complex regulatory questions, often in the context of developing new financial products and services
  • Performing compliance risk assessments of marketing, underwriting, pricing, origination, servicing and loss mitigation activities
  • Advising banks and supervised lenders with examinations by federal and state regulators, including responding to exam findings, CAMELS ratings, Matters Requiring Attention (MRA/MRIA) and enforcement referrals
  • Strategically responding to and defending enforcement actions by state and federal regulators, including the Consumer Financial Protection Bureau (CFPB), Office of the Comptroller of the Currency (OCC), Federal Deposit Insurance Corporation (FDIC), Federal Reserve Board and Department of Justice (DOJ), and, if necessary, negotiating favorable settlements
  • Developing strategies for bank partnership, state licensing and bank charter opportunities for consumer financial services providers
  • Conducting internal investigations of suspected misconduct or violations of an institution’s policies and/or regulatory requirements

In these and other representations, Caroline brings strong substantive knowledge of the key federal and state statutes and regulations governing the financial services industry. Her specific areas of focus include:

  • Fair lending and anti-discrimination laws, including the Fair Housing Act (FHA) and the Equal Credit Opportunity Act (ECOA)
  • Prohibitions on unfair, deceptive or abusive acts or practices (UDAP and UDAAP)
  • Technical regulatory compliance under federal and state laws governing loan marketing, disclosures, settlement practices, servicing and collection practices, consumer reporting and electronic payments
  • Federal preemption, including under the National Bank Act
  • Compliance management best practices and regulatory expectations, including third-party vendor and merchant oversight
  • Treatment and disclosure of confidential supervisory information (CSI)
  • State lease-to-own laws and regulations

Prior to joining Orrick, Caroline was senior counsel at Buckley LLP. She also has served as an attorney-advisor in the litigation division of the OCC, where she represented the agency in civil litigation, bank receivership preparation, employment disputes and other administrative contexts. Caroline also gained valuable in-house experience as the head of compliance and assistant general counsel of a Richmond-based consumer finance company.

432805

Practice:

  • Financial & Fintech Advisory
  • Strategic Advisory & Government Enforcement (SAGE)
  • Fintech

Caroline Stapleton Partner

Washington, D.C.

Client-centered experiences are at the heart of Caroline’s practice. She has provided a wide variety of institutions, from fintech startups to multinational banks, with tailored, practical guidance that considers each company’s unique characteristics and strategic goals. Caroline draws on her prior experiences as an attorney at a federal prudential regulator and as the head of compliance at a consumer finance company to give clients a comprehensive picture of the legal risks and opportunities each new matter presents.

Her work on behalf of financial services providers has included:

  • Providing guidance regarding novel or complex regulatory questions, often in the context of developing new financial products and services
  • Performing compliance risk assessments of marketing, underwriting, pricing, origination, servicing and loss mitigation activities
  • Advising banks and supervised lenders with examinations by federal and state regulators, including responding to exam findings, CAMELS ratings, Matters Requiring Attention (MRA/MRIA) and enforcement referrals
  • Strategically responding to and defending enforcement actions by state and federal regulators, including the Consumer Financial Protection Bureau (CFPB), Office of the Comptroller of the Currency (OCC), Federal Deposit Insurance Corporation (FDIC), Federal Reserve Board and Department of Justice (DOJ), and, if necessary, negotiating favorable settlements
  • Developing strategies for bank partnership, state licensing and bank charter opportunities for consumer financial services providers
  • Conducting internal investigations of suspected misconduct or violations of an institution’s policies and/or regulatory requirements

In these and other representations, Caroline brings strong substantive knowledge of the key federal and state statutes and regulations governing the financial services industry. Her specific areas of focus include:

  • Fair lending and anti-discrimination laws, including the Fair Housing Act (FHA) and the Equal Credit Opportunity Act (ECOA)
  • Prohibitions on unfair, deceptive or abusive acts or practices (UDAP and UDAAP)
  • Technical regulatory compliance under federal and state laws governing loan marketing, disclosures, settlement practices, servicing and collection practices, consumer reporting and electronic payments
  • Federal preemption, including under the National Bank Act
  • Compliance management best practices and regulatory expectations, including third-party vendor and merchant oversight
  • Treatment and disclosure of confidential supervisory information (CSI)
  • State lease-to-own laws and regulations

Prior to joining Orrick, Caroline was senior counsel at Buckley LLP. She also has served as an attorney-advisor in the litigation division of the OCC, where she represented the agency in civil litigation, bank receivership preparation, employment disputes and other administrative contexts. Caroline also gained valuable in-house experience as the head of compliance and assistant general counsel of a Richmond-based consumer finance company.

Jeremiah Weasenforth Innovation Attorney AI

Wheeling, W.V. (GOIC)

Jeremiah develops and implements workflows around the use of artificial intelligence, advanced analytics and machine learning by assessing legal goals and strategy. This includes implementing a broad array of tools designed to achieve cost savings and efficiencies for clients, including generative AI and machine learning technology. 

Jeremiah writes and frequently speaks on the use of AI, advanced analytics, and project management discipline.

Jeremiah Weasenforth Innovation Attorney AI

Wheeling, W.V. (GOIC)

Jeremiah develops and implements workflows around the use of artificial intelligence, advanced analytics and machine learning by assessing legal goals and strategy. This includes implementing a broad array of tools designed to achieve cost savings and efficiencies for clients, including generative AI and machine learning technology. 

Jeremiah writes and frequently speaks on the use of AI, advanced analytics, and project management discipline.

Practice:

  • Technology & Innovation Sector
  • Technology Companies Group
  • Mergers & Acquisitions
  • Fintech

Gregory Heibel Partner

Silicon Valley

Greg's practice focuses on the formation, financing and strategic guidance of rapidly growing technology companies, the representation of venture capital firms and other investors in private and public offerings, as well as other complex transactions related to high growth companies.

Greg has completed many hundreds of financings, mergers, acquisitions and intellectual property transactions for young companies in the networking, wireless, Internet, software, life sciences and consumer sectors. He regularly advises some of the largest technology companies in the world, including a Fortune 10 technology leader, in their global strategic investments into innovative startups. Additionally, Greg has represented numerous publicly traded companies in their public offering, mergers and acquisitions and ongoing corporate governance needs, including Life360 (ASX:360), Foundry Networks, Virage Networks, Adeza, Laserscope, Intellisync and Preview Systems.

Greg also was an Assistant Investment Manager for Genevest, a venture capital firm based in Geneva, Switzerland, where he participated in the first organizational meeting of the European Union World Wide Web Consortium. Prior to practicing law, Greg worked with a number of venture capital backed technology companies in operational and advisory roles, including Intellimeter, eT Communications and Metering Technology Corporation. 

Practice:

  • Technology & Innovation Sector
  • Technology Companies Group
  • Mergers & Acquisitions
  • Fintech

Gregory Heibel Partner

Silicon Valley

Greg's practice focuses on the formation, financing and strategic guidance of rapidly growing technology companies, the representation of venture capital firms and other investors in private and public offerings, as well as other complex transactions related to high growth companies.

Greg has completed many hundreds of financings, mergers, acquisitions and intellectual property transactions for young companies in the networking, wireless, Internet, software, life sciences and consumer sectors. He regularly advises some of the largest technology companies in the world, including a Fortune 10 technology leader, in their global strategic investments into innovative startups. Additionally, Greg has represented numerous publicly traded companies in their public offering, mergers and acquisitions and ongoing corporate governance needs, including Life360 (ASX:360), Foundry Networks, Virage Networks, Adeza, Laserscope, Intellisync and Preview Systems.

Greg also was an Assistant Investment Manager for Genevest, a venture capital firm based in Geneva, Switzerland, where he participated in the first organizational meeting of the European Union World Wide Web Consortium. Prior to practicing law, Greg worked with a number of venture capital backed technology companies in operational and advisory roles, including Intellimeter, eT Communications and Metering Technology Corporation. 

Practice:

  • Technology Transactions
  • Technology Companies Group
  • Cyber, Privacy & Data Innovation
  • Technology & Innovation
  • Strategic Advisory & Government Enforcement (SAGE)

Timothy D. Greene Partner

Los Angeles; Santa Monica

Tim advises startups and venture capital firms on corporate partnerships, strategic alliances, data privacy, technology protection, and the licensing and commercialization of intellectual property and technology assets. Additionally, he counsels clients on intellectual property, technology and privacy issues in connection with financings, M&A and other corporate transactions.

With experience in managing hundreds of strategic transactions and licensing agreements each year, Tim helps clients streamline deals and navigate complex situations. His work spans various industries, including B2B and B2C SaaS, Web3/crypto, and alternative proteins, allowing him to apply best practices and innovative solutions across sectors. Tim’s extensive experience enables him to deliver tailored strategies for client engagements, ensuring deals progress smoothly, risks are minimized, and opportunities are maximized. He also represents several leading venture capital firms in their investment activities.

Tim has negotiated significant corporate partnerships, strategic alliances, and licensing arrangements with and against some of the world’s most influential companies, including retail giants, technology innovators, automotive manufacturers and major financial institutions worldwide. Tim is a former Residential Fellow for Copyright and Fair Use at Stanford Law School’s Center for Internet and Society.

Practice:

  • Technology Transactions
  • Technology Companies Group
  • Cyber, Privacy & Data Innovation
  • Technology & Innovation
  • Strategic Advisory & Government Enforcement (SAGE)

Timothy D. Greene Partner

Los Angeles; Santa Monica

Tim advises startups and venture capital firms on corporate partnerships, strategic alliances, data privacy, technology protection, and the licensing and commercialization of intellectual property and technology assets. Additionally, he counsels clients on intellectual property, technology and privacy issues in connection with financings, M&A and other corporate transactions.

With experience in managing hundreds of strategic transactions and licensing agreements each year, Tim helps clients streamline deals and navigate complex situations. His work spans various industries, including B2B and B2C SaaS, Web3/crypto, and alternative proteins, allowing him to apply best practices and innovative solutions across sectors. Tim’s extensive experience enables him to deliver tailored strategies for client engagements, ensuring deals progress smoothly, risks are minimized, and opportunities are maximized. He also represents several leading venture capital firms in their investment activities.

Tim has negotiated significant corporate partnerships, strategic alliances, and licensing arrangements with and against some of the world’s most influential companies, including retail giants, technology innovators, automotive manufacturers and major financial institutions worldwide. Tim is a former Residential Fellow for Copyright and Fair Use at Stanford Law School’s Center for Internet and Society.

Practice:

  • Antitrust & Competition
  • Strategic Advisory & Government Enforcement (SAGE)

Patrick Hubert Partner

Paris

This breadth of experience has allowed him to become a leading authority in the field of antitrust, but his background helps him borrow ideas from anywhere – finding imaginative solutions for the legal and business challenges his clients face.

Patrick has long been a trailblazer in his field. For example, years before private compliance programs became commonplace, Patrick persuaded his clients to dedicate resources to compliance policies, thus being one of the first to encourage proactive rather than strictly reactive actions. In France, he was one of the first to launch antitrust recovery claims and to work on a private standalone claim, without any precedent from the regulator. Acting on the plaintiff side, he obtained what was at that time the highest fine ever imposed on a dominant company (350 M€).

He is currently handling private claims totaling more than 5 billion euro, advising global tech companies and other multinationals in French and EU competition matters, including merger control filings, cartel and abuse of dominance investigations, state aid and compliance work, as well as private damages actions before the French courts. In addition, he serves as vice chairman of the competition commission of the International Chamber of Commerce and chairs its merger control working party.

Practice:

  • Antitrust & Competition
  • Strategic Advisory & Government Enforcement (SAGE)

Patrick Hubert Partner

Paris

This breadth of experience has allowed him to become a leading authority in the field of antitrust, but his background helps him borrow ideas from anywhere – finding imaginative solutions for the legal and business challenges his clients face.

Patrick has long been a trailblazer in his field. For example, years before private compliance programs became commonplace, Patrick persuaded his clients to dedicate resources to compliance policies, thus being one of the first to encourage proactive rather than strictly reactive actions. In France, he was one of the first to launch antitrust recovery claims and to work on a private standalone claim, without any precedent from the regulator. Acting on the plaintiff side, he obtained what was at that time the highest fine ever imposed on a dominant company (350 M€).

He is currently handling private claims totaling more than 5 billion euro, advising global tech companies and other multinationals in French and EU competition matters, including merger control filings, cartel and abuse of dominance investigations, state aid and compliance work, as well as private damages actions before the French courts. In addition, he serves as vice chairman of the competition commission of the International Chamber of Commerce and chairs its merger control working party.