Los Angeles
Maria drafts and reviews purchase and sale agreements, loan agreements and closing documents for investment funds, institutional investors and developers on real estate transactions, including joint ventures, acquisitions, financings, developments and dispositions. She also advises on lease agreements.
While in law school, Maria was a member of the International Human Rights Law Clinic for multiple semesters, where she worked to pass local resolutions in both the cities of Berkeley and San Francisco based on international human rights principles. She also participated in the East Bay Community Law Center’s Community Economic Justice Clinic.
Maria is also passionate about diversity and recruitment efforts. She served as the recruitment chair for La Alianza’s Law Student Association as well as an Admissions Ambassador at Berkeley Law. Now she is an active member of Orrick’s Latinx Attorneys inclusion network.
Maria was previously a summer associate at Orrick in 2020.
Seattle
Eric brings to his role at Orrick extensive experience in the military, governmental and corporate sectors. He served for seven years in Intelligence in the U.S. Air Force and for twelve years as a Cyber Intelligence Officer with the Central Intelligence Agency. He has worked in the private sector, including in post-breach situations, both with leading cyber consultants and global enterprises in the U.S. and UK. Most recently, he was Global CISO at publicly traded global pharma group Kyowa Kirin.
Eric serves as an advisor to startups and venture capital firms dedicated to transforming cybersecurity, including Confidencial, Radiant Security, NDAY Security, NightDragon and Halcyon Inc.
Outside of work, Eric enjoys fishing, cruising, visiting Disney parks and traveling to historical sites.
San Francisco
San Francisco
Brandon is a corporate attorney in Orrick’s San Francisco office. He concentrates his practice on representing technology and other high growth companies and their investors. Brandon advises companies on day-to-day corporate and transactional matters throughout their growth lifecycle, from formation to early stage and growth stage financings to exit events, and everything in between. In addition, Brandon regularly represents leading private equity, venture capital and other institutional investors on growth, venture and structured equity investments, minority and majority recapitalizations, buyouts and other complex investment transactions. He also has significant experience representing clients in the cleantech and renewable energy industries on securities transactions and joint ventures.
London
Ravinder represents a wide range of clients in connection with large scale renewable (including onshore/offshore wind, solar and biomass) M&A, joint ventures, corporate restructurings and regulatory matters, as well as in respect of infrastructure and conventional energy assets. She is widely recognised as a leader in wind energy.
Ravinder is a member of Orrick’s Finance and Audit Committee, providing oversight of its financial reporting and audit process, its internal controls, and global compliance with laws and regulation.
New York
Chanani advises multinational companies across all industry lines on a variety of employment-related matters and implementation of global equity compensation programs. He globally manages large multi-country and large multi-function HR projects.
From an employment law perspective, Chanani advises his clients on a wide range of employment-related matters outside the United States, including global/local offer letters and employment contracts, rollout of HR policies and employee handbooks as well as termination and settlement agreements. His work also covers advising clients hiring, HR data privacy compliance, discrimination risks, as well as performance management and terminations. He also works with his clients to consider the employment-related impact of, and undertake due diligence for, cross-border corporate transactions, including mergers and acquisitions, spin-offs, and IPOs.
Chanani also counsels his clients on how to effectively design, implement, communicate and administer equity-based compensation programs and other long-term incentive awards to their employees and other service providers worldwide. His work covers securities law, foreign exchange, employment, tax and other compliance requirements related to these programs. He also provides services in the areas of corporate tax planning, cross-border tax planning, payroll support and employee education with respect to global equity programs, including in the context of corporate transactions.
He has presented at industry educational forums, such as the National Association of Stock Plan Professionals (NASPP) and Global Equity Organization (GEO), on topics related to tax compliance as well as effective design, implementation and administration of global equity-based awards and other long-term incentive plans.
Washington, D.C.
Ignacio engages with the SEC and the Financial Industry Regulatory Authority (FINRA) on behalf of clients on critical matters related to their business by seeking regulatory relief, interpretive guidance, exemptions and as a subject matter expert in enforcement and examination matters. He advises major U.S. broker-dealers in their clearing, retail, trading and institutional businesses, and on their financial responsibility and operational obligations.
Ignacio has counseled numerous broker-dealers on their obligations under the net capital rule (Rule 15c3-1), the customer protection rule (Rule 15c3-3), margin (Regulation T, Regulation U, Regulation X, FINRA Rule 4210, etc.), recordkeeping and reporting rules (Rule 17a-3, Rule 17a-4, Rule 17a-5, Rule 17a-8, Rule 17a-11, Rule 17a-13, etc.) and other middle office and back-office requirements. He has drafted market standard clearing and custody agreements for broker-dealers and has experience working on various types of agreements affecting market intermediaries and participants, including trading agreements, customer agreements, distribution agreements and platform agreements.
Ignacio regularly registers and provides support to alternative trading systems (ATS) and counsels market participants regarding their obligations to register as such. In addition, he has helped broker-dealers develop management platforms for clients involving money market funds and other cash equivalent instruments. He also has experience with cash sweep programs involving money market funds and bank deposit programs insured by the Federal Deposit Insurance Corporation (FDIC).
Ignacio’s experience also includes matters relating to domestic and foreign broker-dealer registrations, customer account statement and confirmation requirements, mergers and acquisition brokers, anti-money laundering obligations for buy-side and sell-side participants, transaction confirmations and outsourcing broker-dealer technology and platforms. He counsels foreign exchanges and foreign clearing organizations regarding U.S. regulatory obligations on the access of U.S. person to foreign options markets and security-futures products.
Los Angeles
She represents lenders, including banks and other financial institutions, and corporate borrowers in a wide range of secured and unsecured commercial financing transactions, including syndicated transactions, asset-based financings, private equity acquisition financings, cross-border transactions and refinancings. Cris also supports other practice groups, including the Mergers & Acquisitions/Private Equity group, the Technology Companies Group and the Energy and Infrastructure group, on financing matters for clients.
Cris is an active member of Orrick LA's recruiting committee. She also regularly engages in various types of pro bono matters, including immigration matters and wills and trusts matters.