New York
Carly counsels clients across several sectors, including health technology, financial services, private equity, insurance, and technology on a range of United States (U.S.) federal and state privacy laws, including, but not limited to:
She also prepares clients for regulatory inquiry and government investigation and provides assessments of privacy and security practices for companies carrying out due diligence in the context of corporate transactions. Carly also maintains an active pro bono practice, which has included helping clients in immigration and criminal justice matters.
Carly has obtained the Certified Information Privacy Professional - United States (CIPP/US) designation from the International Association of Privacy Professionals.
New York
He has practiced in the area of public finance for more than 15 years, serving as bond counsel, underwriters’ counsel and borrower counsel in various revenue bond financings, including those related to public power, sewer and storm water, tobacco, higher education, student loans, hospitals and multi-family and single-family housing. He is also bond counsel to various issuers relating to their commercial paper programs.
New York
Joanna advises public and private companies in domestic and cross-border mergers and acquisitions.
Prior to joining Orrick, Joanna was a corporate associate in the New York office of Cravath, Swaine & Moore LLP.
New York
As a Climate Advisor at Orrick, Avani is a key member of our Environmental, Social and Governance (ESG) Group. She provides non-legal advice to clients on their climate-related governance, strategy, risk management, and relevant targets and metrics, as well as the identification of relevant ESG issues for a range of companies, the collection and analysis of key climate- and ESG- performance metrics, the preparation of climate- and ESG-related disclosures, and research and writing on emerging climate and ESG trends. She also advises and assists clients in conducting greenhouse gas emissions (GHG) inventories, including identifying emissions boundaries and material categories of Scope 3 GHG emissions.
Prior to joining Orrick, Avani worked as a Corporate Sustainability and Climate Change (CS&CC) Manager at ERM (2021-2023) and as an Air Quality/Sustainability Senior Consultant at Ramboll U.S. Corporation (2012-2021). At both these consulting firms she worked on a variety of air quality and GHG compliance, permitting, and reporting projects, along with ESG due diligence using International Finance Corporation (IFC) Performance Standards and Equator Principles. Avani has developed GHG inventories and evaluation of GHG mitigation strategies for a variety of sectors, including city/county municipalities, corporations, airports and seaports, logistical warehouses, and oil and gas facilities.
She has managed and developed Climate Change and Sustainability Reports and Plans, Energy Conservation Plans, and Corporate Social Responsibility Reports, using reporting frameworks such as GHG Protocol, Task Force on Climate-Related Financial Disclosures (TCFD), CDP, and Global Reporting Initiative (GRI). Avani has robust expertise with GHG analysis and reporting, strategy development, policy and regulatory review, and peer benchmarking, for projects located both within the United States and internationally.
Avani has a master’s degree in Environmental Engineering from Illinois Institute of Technology, Chicago (2011) and a bachelor’s degree in Mechanical Engineering from Vishwakarma Institute of Technology, India (2007).
New York
She advises investment banks, broker-dealers, hedge funds and other financial institutions on legal issues related to the purchase and sale of domestic and international par and distressed assets, including bilateral and syndicated loans, loan participations and derivative structured products. Amy also works with clients to structure deals involving preference, administrative and unsecured trade claims and assists clients in enforcing their rights in the bankruptcy case after the claims are purchased. She represents buy side and sell side clients in connection with private transfers of debt and equity securities, special situations investments, and transactional matters relative to in-court and out-of-court restructurings. Amy also has experience representing lenders on secured and unsecured financing transactions across a wide array of industries, including shipping, airline, energy and infrastructure.
Amy is a consensus builder with industry knowledge and working relationships with all major market players. She has extensive experience in the preparation and negotiation of bespoke documents under the LSTA and LMA regimes, and is routinely involved with cross-border transactions throughout Europe, Asia, Latin America and the United States. A seasoned practitioner, she coordinates efforts and resources across the firm to ensure transactions are handled efficiently.
Amy is an active member of the industry’s loan associations and provides training for in house counsel and operations teams at financial institutions.
New York
Paige represents large corporations, public entities, and individuals in high-stakes matters in federal and state courts nationwide. She manages and litigates complex matters, including class actions, multi-district litigations, and cases set for trial. Much of Paige's work focuses on cases alleging exposures to or economic harm from various chemicals, including pesticides, herbicides, PFAS, and chemicals with industrial applications.
Paige effectively argues motions, takes depositions, manages discovery, drafts briefs, and negotiates settlements. Paige has participated in successful jury trials and has delivered constructive presentations to government actors. She was named a Best Lawyers: Ones to Watch® in America for 2024, 2025, and 2026.
Dedicated to her active pro bono practice, Paige has led a class of detained individuals seeking to remedy constitutional rights violations and has assisted individuals in their efforts to navigate immigration laws. Paige was honored as an Excellent Pro Bono Attorney for her work on mandamus petitions with the International Refugee Assistance Project.
From 2017-2018, Paige served as a law clerk for the Honorable Dora L. Irizarry, Chief United States District Judge for the Eastern District of New York. Prior to clerking, Paige worked as an associate at a global law firm, engaged in complex commercial litigation, arbitrations, and investigations.
New York
Naomi provides clients guidance on implementing global privacy programs and advises on the U.S. state privacy laws in California, Colorado, Connecticut, Utah, Virginia and other states. She assists clients in breach investigations and cybersecurity incident response, including advising on breach notification, regulatory investigations and managing cybersecurity policies and procedures.
Naomi draws on her experience in fixed income trading technology when advising on cybersecurity and compliance risks within business operations. During law school she externed at the Center for Reproductive Rights focusing on privacy in the context of international human rights.
New York
Aerielle represents clients in complex litigation matters in both federal and state courts. With significant experience in high-stakes litigation matters, Aerielle litigates cases on behalf of technology companies, investment firms, banks, and individuals. Aerielle has extensive experience defending clients in mass torts, product liability matters as well as working with teams guiding clients through government and investigations and enforcement actions. Aerielle also has experience working with a team in a high-profile intellectual property matter.
Aerielle is also active in pro bono matters, primarily focusing her practice on a wrongful death action against an ICE subsidiary.
New York
He frequently advises mortgage companies, fintechs, lead generators, consumer and commercial lenders, banks and other financial services companies on key federal and state consumer financial laws, safety and soundness regulations, multistate licensing requirements, and government agency lending and servicing guidelines. Andrew also assists clients with enforcement actions brought by federal and state regulators and conducts comprehensive regulatory assessments in connection with potential acquisitions designed to identify regulatory gaps and systemic compliance control deficiencies.
Andrew has assisted clients in facilitating compliance with the Equal Credit Opportunity Act (ECOA), the Truth in Lending Act (TILA), the Real Estate Settlement Procedures Act (RESPA), the Home Mortgage Disclosure Act (HMDA), unfair, deceptive or abusive acts or practices (UDAAP), the Fair Credit Reporting Act (FCRA), the Gramm-Leach Bliley Act (GLBA), the Fair Debt Collection Practices Act (FDCPA), Controlling the Assault of Non-Solicited Pornography and Marketing Act of 2003 (CAN-SPAM), Telephone Consumer Protection Act (TCPA), and other key federal laws.
His work also includes assisting clients in developing compliance management systems and vendor management programs that meet regulatory expectations, and in preparing for and managing examinations by the Consumer Financial Protection Bureau (CFPB), federal prudential regulators, and state regulators. In addition, he represents clients in investigations initiated by the CFPB.
Prior to joining Orrick, Andrew was senior counsel at Buckley LLP. He also worked in Morgan Stanley’s Legal and Compliance Division, where he provided advice on various regulatory compliance requirements affecting securities-based, commercial and institutional lending, and assisted in the development and implementation of a risk-assessment process for retail lending products. Andrew was also a member of Morgan Stanley Credit Corporation's Mortgage Compliance Committee. Prior to his tenure at Morgan Stanley, he served as vice president of legal affairs for Premium Capital Funding LLC.
New York
Renee has successfully defended employers in federal and state court litigations as well as administrative proceedings and arbitrations involving claims of discrimination, harassment, wrongful termination, whistleblowing, trade secret misappropriation and other employment-related claims. She regularly counsels employers on a variety of employment-related issues and assists clients in creating and implementing human resources policies, whistleblower policies, negotiating and drafting executive contracts, restrictive covenants and other employment agreements, and conducting internal investigations.
Renee is the co-author of the PLI treatise, Corporate Whistleblowing in the Sarbanes-Oxley/Dodd-Frank Era. She regularly writes and speaks on whistleblower and other employment topics.
New York
Nick is an experienced bankruptcy litigator, representing financial institutions, pharmaceutical companies, and trustees in all stages of the bankruptcy process. Most recently, Nick served as co-lead trial counsel to the private credit arm of a global financial company and secured a $100 million trial victory in connection with multiple defaulted loans.
Nicholas also has extensive experience in issues arising out of the financial crisis, including a range of issues relating to residential mortgage backed securities (“RMBS”) and lending practices. He has represented issuers and sponsors of RMBS in fraud and breach of contract cases, as well as federal and state securities actions. Nicholas has defended a global financial institution in connection with two separate trials in the New York Supreme Court.
Nicholas is a key member of the Orrick team that represents Goldman Sachs and Credit Suisse, multinational investment banks and financial services companies, in connection with more than a dozen cases. This includes defending the clients against claims brought by investors, trustees, and monoline insurance companies in connection with the purchase and sale of RMBS. Nicholas also completed a secondment at Credit Suisse, where he was in the litigation and investigations group. During this time, he worked on regulatory matters involving FINRA, the SEC, the DOJ, the CFTC, and the NY Department of Financial Services. Additionally, he handled internal investigations addressing issues such as insider trading.
Nicholas has also represented one of the nation’s largest mortgage loan servicers, including in a class action lawsuit involving allegations of improper loan servicing practices.
New York
Brianna's practice focuses on cross-border comparative employment law, including global business immigration. She works with clients to address critical questions related to the evolution and growth of their global workforce, including international employment contracts, employee handbooks and policies, contingent worker considerations, performance management, benefits, HR data privacy compliance, and equity compensation. Brianna also advises on the global employment aspects of corporate transactions.
Prior to joining Orrick, Brianna practiced corporate immigration law, gaining years of experience facilitating global mobility for large corporations, startups, and individuals alike.