London
Mark assists office holders across a broad range of asset recovery actions, including investigations into antecedent transactions and other claims against directors and third parties, as well as advising directors defending such claims. Mark has deep experience in enforcement work on behalf of banks and lenders including Law of Property Act receiverships.
Mark's non-contentious work includes significant experience on transactional matters such as assisting on both the buy and sell side of 'pre-pack' administration sales and other insolvency sales, advising on restructuring options for companies in distress including voluntary arrangements, schemes, and consensual restructuring proposals as well as advisory work assisting companies and their directors on the duties they have when facing financial difficulties.
London
He supports clients ranging from early-stage startups to established enterprises throughout the technology lifecycle – from software development and procurement to digital transformation, outsourcing, and strategic alliances.
His work includes drafting and negotiating technology service agreements, website terms and conditions, and intellectual property Iicensing agreements, ensuring contracts evolve with each stage of growth.
Tom also helps clients acquire, protect, and commercialise intellectual property, advising on cross-border licensing, due diligence, and compliance with copyright and data protection laws.
Seattle
Conor's experience covers all facets of real estate, including acquisitions, dispositions, development, joint ventures, leasing, financing, easements, property management, and subdivisions. His practice is particularly focused on land development issues, such as negotiating site control documents, coordinating and mediating easement disputes, title insurance policies, and surveys, as well as coordinating a wide range of title curative work. Conor has successfully represented a diverse clientele, ranging from major institutional landlords to small businesses and individuals, helping them navigate their real estate needs with precision and care.
New York; Boston
Matthew helps clients comply with the Controlling the Assault of Non-Solicited Pornography And Marketing Act (CAN-SPAM), the Children’s Online Privacy Protection Act (COPPA), the California Consumer Privacy Act of 2018 (CCPA), the Fair Credit Reporting Act (FCRA), the Gramm-Leach-Bliley Act (GLBA), the General Data Protection Regulation (GDPR), the Telephone Consumer Protection Act (TCPA), and state breach notification, biometric privacy, and cybersecurity laws. He counsels on self-regulatory privacy programs, including Binding Corporate Rules, the Asia-Pacific Economic Cooperation Cross-Border Privacy Rules (APEC CBPRs); programs covering online behavioral advertising, including the Digital Advertising Alliance (DAA), the European Interactive Digital Advertising Alliance (EDAA), the Interactive Advertising Bureau (IAB), and the Network Advertising Initiative (NAI); and programs covering payment card processing. Matthew also provides compliance solutions for emerging technologies, including artificial intelligence and blockchain.
Matthew’s federal regulatory experience helps clients stay compliant and avoid regulatory scrutiny. His comprehensive data management knowledge helps him counsel beyond the letter of the law and facilitates worldwide expansion, interoperable business processes, and innovative uses of consumer data while maintaining user trust. His all-encompassing, risk-based approach involves developing and executing internal and external policies for the collection, use, disclosure, sharing, retaining, transferring, and destruction of personal information. This includes managing contractual relationships with vendors, employees, acquired entities, and creditors as well as building privacy into companies’ product development life cycle and change management strategies.
Prior to joining Orrick, Matthew was an Enterprise Privacy Solutions Manager for TrustArc (formerly TRUSTe), a San Francisco-based privacy consulting and certification firm, and an adjunct law professor of Privacy Law at Santa Clara University. Matthew is a Certified Information Privacy Manager and a Certified Information Privacy Professional with a specialization in United States privacy law.
München
Sie begleitet junge innovative Unternehmen und ihre Investoren in allen Wachstumsphasen mit dem Ziel, ihre Mandanten effizient bei der Realisierung ihrer unternehmerischen Ziele zu unterstützen. Darüber hinaus verfügt sie über Erfahrung in der Begleitung nationaler und internationaler Unternehmenstransaktionen und Umstrukturierungen. Ihre Mandanten profitieren von ihrem fundierten Verständnis technologischer Entwicklungen, insbesondere im Bereich Aerospace.
Bevor sie zu Orrick wechselte, war Danielle Golinski als Rechtsanwältin in einer international tätigen Wirtschaftskanzlei im Bereich Corporate und M&A sowie als Legal Counsel im Außenwirtschaftsrecht bei einer führenden Einrichtung für angewandte Forschung und Entwicklung tätig.
Boston
Nick provides compliance guidance on both proposed and effective laws on a federal and state level in the United States, including:
He also counsels clients on the impact of international laws from a U.S. perspective, including the General Data Protection Regulation (GDPR), the ePrivacy Directive (ePD), and the EU Artificial Intelligence Act.
Nick helps clients develop flexible governance frameworks for the development and use of artificial intelligence in the face of ever evolving AI legislation. He also advises clients on strategies, policies and procedures for the sourcing of AI training data, the responsible use of AI by employees, the assessment of risks presented by AI tools, the design of consumer-facing AI, the negotiation of AI-related contracts and the handling of AI-related regulatory inquiries and investigations.
Nick also devotes a portion of his practice to innovative client solutions and community engagement. He was part of the Orrick team that developed Orrick’s AI Resource Center, EU AI Act reference guide, U.S. AI Law Tracker and Gen AI Policy Builder. His pro bono practice has included representing clients in immigration and innocence matters and assisting small businesses with their legal needs.
Nick has obtained the Certified Information Privacy Professional -/ United States (CIPP/US), Certified Information Privacy Technologist (CIPT) and Privacy Law Specialist (PLS) designations from the International Association of Privacy Professionals (IAPP).
Washington, D.C.
Jennifer routinely advises clients on strategic partnerships and guides companies through every stage of corporate transactions where IP and technology are key assets and where artificial intelligence (AI) is a driving factor. She helps clients prepare for acquisition, including developing and implementing remediation strategies, and counsels clients seeking to acquire businesses as strategic partners or as private equity funds investing in innovative technology, IP, and AI.
Additionally, she works closely with established companies in drafting and negotiating a wide variety of complex IP, technology, software, intercompany, software as a service (SaaS), reseller, OEM, AI, joint development, consulting, and other commercial agreements and licenses. Jennifer works with cross-border clients across numerous technology-driven sectors, including entertainment and media.
Jennifer has extensive knowledge of copyright law and counsels clients on all aspects of copyright protection.
Jennifer has been in the leadership of the American Bar Association's Section of Intellectual Property Law for over 15 years. She currently serves on the Sections' Council and has also been a member of the Continuing Legal Education (CLE) Board since 2016. Previously she was a member of the Nominating Committee, was Vice Chair of the Copyright Division, and chaired the Committee on Copyright & Social Media.
Jennifer is a Fellow of the American Bar Foundation. Her speaking engagements and publications have addressed topics such as asset sales involving intellectual property, music licensing, IP ownership matters, and copyright permissions and fair use.
Before her legal career, Jennifer earned her Ph.D. in the History of Art from the University of Pennsylvania. She taught art history at The George Washington University and American University. She received fellowships from the French Ministry of Education (Chateaubriand Fellowship), the Philadelphia Museum of Art, The Phillips Collection, and the University of Pennsylvania.
New York
Max has extensive experience in a broad range of domestic and cross-border corporate and transactional matters, including venture capital and growth equity financings, mergers & acquisitions, fund formation and SPAC transactions. He has represented both early and growth stage companies in hundreds of venture capital financings, growth equity investments and M&A transactions, and he regularly advises leading venture capital and private equity funds on their investments across the innovation ecosystem.
Max is also known for working closely with clients to provide strategic business insights and outside general counsel services, advising clients on corporate governance and boardroom matters, product development and design, fundraising strategy and general commercial matters.
In addition to representing US companies on domestic transactions, Max has substantial experience representing clients outside the US, including emerging companies and venture funds operating in Canada, Europe, Latin America, India, Japan, Singapore, China, Australia, Israel, the Cayman Islands and various other jurisdictions.
Washington, D.C.
Jerry is a thought leader in the field of financial services regulation. He co-hosts RegFi, a weekly podcast series, that explores how financial regulation will change more in the next 10 years than in the last 50: https://www.orrick.com/en/Podcasts/RegFi.
Early in his career, Jerry served as Minority Staff Director of the United States Senate Banking Committee, and he played an important role in drafting many of the laws that impact the consumer financial services industry today. Since entering private practice, he has guided clients in developing compliance programs, dealing with regulatory and enforcement challenges and helping shape public policy.
Throughout his career, he has focused on promoting enhanced delivery of financial services. He was a leader in advocating the passage of the federal ESign Act, which authorized use of electronic records in financial services and other transactions. He served as counsel to the Drafting Committee for Standards and Procedures for Electronic Records and Signatures (SPeRS). He co-authored The Law of Electronic Records and Signatures (West Publishing Company) as well as Introduction to Mortgage Banking (American Bankers Association).
He has also taken a lead in promoting national data protection standards. His American Banker article, “Congress needs to hurry up on data protection,” lays out the case for national standards as an alternative to a patchwork of state privacy laws. He serves as advisor to the Financial Services Trade Associations Data Protection Working Group, an informal alliance of national financial trade associations responding to fast changing legislative and regulatory developments related to privacy and data security. He is also an advisor to the Association for Data and Cyber Governance (ADCG) and the Alliance for Innovation in Regulation (AIR).
His clients include banks, mortgage companies, credit card issuers, insurance companies, broker dealers, fintech companies, investment banks and private equity investors. Jerry provides strategic counsel and advice on business formations and acquisitions, licensing and chartering, risk management and enforcement matters involving federal and state regulators.
He has defended companies that are targets of inquiries or enforcement actions by the Office of the Comptroller of the Currency (OCC), Federal Deposit Insurance Corporation (FDIC), Federal Reserve, Consumer Financial Protection Bureau (CFPB), Federal Trade Commission (FTC), Department of Housing and Urban Development (HUD), Congressional Committees and state attorneys general.
Jerry has promoted a modernized approach to financial regulation (regtech). He led Buckley LLP's effort to publish a widely read white paper titled “Financial Regulators’ Dilemma: Administrative and Regulatory Hurdles to Innovation.” The paper is based on interviews with Heads of Innovation at the principle financial agency regulators, and lays out legal and administrative stumbling blocks identified by regulators themselves impeding regtech advances.
Jerry's opinion pieces regularly appear in financial service publications. He has advocated for development of “dynamic disclosures” to offer more useful information to consumers than is provided under the often cumbersome and voluminous static disclosures currently provided.
An article he wrote in the American Banker in 2016, “The Compliance Officer Bill of Rights,” focused attention on the growing risks faced by compliance officers. This led to a symposium on “Rights and Responsibilities of Today’s Chief Compliance Officers — Their Evolving Role,” which was chaired by Jerry and sponsored by American University Washington College of Law. Chief compliance officers from the nation’s leading companies participated in this seminal discussion about how to define and make safe the job of a chief compliance officer.
He has acted as counsel for a number of national financial services trade associations on matters before regulatory agencies and Congress, and in filing amicus briefs related to the interpretation of banking and consumer finance laws in cases before the U.S. Supreme Court and appellate courts.
He is an Adjunct Associate Professor of Law at American University's Washington College of Law. In 2007, he founded a national financial services consulting company known as Treliant Risk Advisors.
In 2015 he was awarded the Senator William Proxmire Lifetime Achievement Award from the American College of Consumer Financial Services Lawyers.
Houston
Grace advises clients on the successful execution of complex energy projects. She represents developers, sponsors and utilities in the development, acquisition and sale of energy assets, primarily renewable and conventional power technologies.
Her practice spans the full project lifecycle, including engineering, procurement and construction, major equipment supply, and long-term offtake arrangements. She has significant experience in build-transfer transactions and supports clients through complex M&A and joint venture arrangements in the energy space.
Grace brings a practical, business-focused approach to every deal, helping clients manage risk and achieve their commercial goals in a dynamic sector.
New York
Dan advises on projects spanning the energy and infrastructure sector, including toll roads, rail, airports, ports, thermal and renewable energy generation, transmission infrastructure, telecommunications infrastructure, and water and waste facilities.
His key clients include major strategic and financial sponsors who have been involved in many of the largest and highest profile PPP and project development transactions over the past 30 years. Dan advises clients on Public-Private Partnerships, large-scale, complex project financings, and acquisitions and divestitures of projects and project portfolios, leading teams that have the depth and breadth to deliver excellence in every phase of a project, including development, construction, financing and operations, as well as providing leading M&A, restructuring and tax advice.
Dan has long been recognized as a leading practitioner in publications such as Chambers (every year since 2005), The Legal 500 and others. Clients describe him in Chambers as a “dean in the PPP space,” the “best in the business” and one client added that “he has an encyclopedic memory about all the deals in the market and a negotiating style that solves problems rather than creating them.”
Houston
Adam has significant experience in transactions across the energy and infrastructure sectors, including in oil and gas, hydrogen and ammonia, carbon capture and storage, energy infrastructure, and core and core-plus infrastructure. He has advised clients across the full spectrum of energy and infrastructure assets, including upstream oil and gas assets, gathering and processing facilities, pipelines, carbon storage facilities, gas storage facilities, refined products terminals, toll roads, district energy systems, and water and waste facilities.
He regularly represents domestic and international energy companies, energy and infrastructure private equity funds, midstream companies, and industrial and environmental services companies, among others.