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  1. Capabilities

Financial Services

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  • Overview
  • Experience
  • Related Insights & News
  • Key Contacts

    Kobi Kennedy BrinsonJordan Klein
    View Our Full Team

    For more than a century, Winston has been a trusted advisor and advocate to financial services clients around the world, advising them in some of their highest-stakes and most sensitive matters. Our multidisciplinary Financial Services Industry Group represents leading banks and financial services companies in a range of complex corporate and transactional matters; litigation and disputes; and regulatory, compliance, and enforcement matters.

    In the U.S., we advise on compliance with federal and state laws and regulations, advocating our clients’ interests in agency proceedings and policy deliberations, and ensuring the timely completion of acquisitions, mergers, and other transactions. Our Financial Services team represents U.S. and non-U.S. firms before federal and state regulatory agencies, legislatures, and courts, as well as before arbitration panels and international tribunals. Notably, our lawyers have actively participated in implementing the major U.S. legislation affecting financial firms over the last three decades, including the laws governing financial services integration, enhanced supervisory oversight, money laundering prevention, privacy, corporate governance, and financial and public reporting.

    Who we represent
    • Banks
    • Broker-dealers
    • Credit card companies
    • Digital assets firms
    • Direct/non-bank lenders
    • Insurers
    • Investment advisers
    • Investment banks
    • Money services businesses
    • Mutual funds
    • Payment processors
    • Private equity funds
    • Individuals
    • Trust companies

    Key Contacts

    Kobi Kennedy BrinsonJordan Klein
    View Our Full Team

    Our financial services corporate and transactional lawyers are grounded in the issues that financial institutions face worldwide and offer extensive experience assisting financial services firms with their corporate and transactional needs. From the formation of a new subsidiary or joint venture to the completion of a significant merger or acquisition, we are capable of handling transactions exceptionally and efficiently.

    Our financial services litigators have a distinguished reputation for handling complex litigation involving consumer claims against financial institutions and for representing clients in government and internal investigations. We have defended financial services clients against claims brought under myriad consumer-protection statutes governing consumer transactions. We leverage our reputation as a trial lawyers’ firm to help clients overcome bet-the-company litigation, resolve day-to-day business matters, and prepare for future threats.

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    We have a broad and established regulatory, compliance, and enforcement practice. We advise a wide range of financial services clients on federal and state supervisory examinations and in developing and implementing corrective action and remediation responses for numerous agencies, including, the Office of the Comptroller of the Currency (OCC), Consumer Financial Protection Bureau (CFPB), Federal Reserve Board (FRB), Federal Deposit Insurance Corporation (FDIC), Financial Crimes Enforcement Network (FinCEN), Treasury/ Office of Foreign Assets Control (OFAC), New York State Department of Financial Services (NYDFS), New Jersey Department of Banking and Insurance (NJDOBI), and Florida Office of Financial Regulation (FOFR).

    Our insurance lawyers provide insurance companies with best-in-class advice, corporate and transactional counsel, and, if need be, litigation defense in high-stakes coverage disputes and class actions. We have achieved excellent outcomes for our clients in matters involving a wide variety of insurance policies and claims, including cybersecurity, travel, long-term care, and annuities, among others. Moreover, we have experience in emerging issues and industries, such as blockchain technology and artificial intelligence, both of which present insurers with a unique and complicated set of risks and opportunities.

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    Winston’s financial crimes compliance lawyers have been providing Bank Secrecy Act (BSA), anti-money laundering (AML), and countering the financing of terrorism (CFT) regulatory compliance counseling and enforcement-related services for decades. We also have experience with international AML matters including in the EU and with respect to Financial Actions Task Force (FATF) recommendations.

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    Related Capabilities

    Antitrust/Competition
    Appellate & Critical Motions
    Bankruptcy Litigation & Investigations
    Capital Markets
    Class Actions & Group Litigation
    Commercial Litigation & Disputes
    Compliance Programs
    Debt Finance
    Derivatives & Structured Products
    eDiscovery & Information Governance
    Employee Benefits & Executive Compensation
    Environmental, Social & Governance (ESG)
    ERISA Litigation
    Executive Compensation Plans & Agreements
    Finance
    Financial Services Litigation
    Financial Innovation & Regulation
    Fund Finance
    Private Investment Funds
    White Collar & Government Investigations
    Government Program Fraud, False Claims Act & Qui Tam Litigation
    Intellectual Property
    International Arbitration
    International Trade
    Labor & Employment
    Litigation/Trials
    Mergers & Acquisitions
    Privacy & Data Security
    Private Equity
    Privacy: Regulated Personal Information (RPI)
    Financial Restructuring
    Securities, M&A & Corporate Governance Litigation
    Structured Finance
    Tax
    Transactions
    Venture Capital
    Cryptocurrencies, Digital Assets & Blockchain Technology
    FinTech, Banking & Payments
    Insurance
    European Disputes, Regulatory & Compliance
    European Transactions
    Latin America & Caribbean

    Recent Experience

    Revelstoke Capital Partners Strategic Minority Investment From Bonaccord Capital Partners

    Related Insights & News

    View All Insights & News
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    Recognitions
    Winston & Strawn Ranked in The Legal 500 Latin America 2026

    November 3, 2025

    Recognitions
    Winston & Strawn Ranked in 2025 Chambers Brazil: Transactional Guide

    October 31, 2025

    Client Alert
    How Do the Florida Office of Financial Regulation’s Proposed Anti-Debanking Rule Revisions Impact Financial Institutions That Operate in Florida?

    October 29, 2025

    Webinar
    Bayes H1 2025 UK Debt Market Survey Results

    October 21, 2025

    Sponsorship
    Winston & Strawn Sponsors, Speaks at ABS East 2025

    October 20, 2025

    In the Media

    Carl Fornaris Shares Insights on Proposed Rule to Delay Investment Adviser Anti-Money Laundering Rules in ThinkAdvisor

    October 2, 2025

    Client Alert
    FinCEN Issues Proposed Rule to Delay the Investment Adviser AML Rule by Two Years

    September 23, 2025

    Seminar/CLE
    Winston Hosts New York Financial Services Symposium 2025

    September 18, 2025

    Article
    A League of Its Own: Sport Stadium as Significant Asset Class for Private Capital Investors
    November 18, 2025
    Client Alert
    Debanking Developments: U.S. Senator Introduces Debanking Bill
    November 12, 2025
    Client Alert
    U.S. Treasury Seeks Public Comment on the Implementation of the GENIUS Act
    November 10, 2025
    Article
    Venture Capital Law: United Kingdom
    November 3, 2025
    Recognitions
    Winston & Strawn Ranked in The Legal 500 Latin America 2026
    November 3, 2025
    Recognitions
    Winston & Strawn Ranked in 2025 Chambers Brazil: Transactional Guide
    October 31, 2025
    Client Alert
    How Do the Florida Office of Financial Regulation’s Proposed Anti-Debanking Rule Revisions Impact Financial Institutions That Operate in Florida?
    October 29, 2025
    Webinar
    Bayes H1 2025 UK Debt Market Survey Results
    October 21, 2025
    Sponsorship
    Winston & Strawn Sponsors, Speaks at ABS East 2025
    October 20, 2025
    In the Media

    Carl Fornaris Shares Insights on Proposed Rule to Delay Investment Adviser Anti-Money Laundering Rules in ThinkAdvisor

    October 2, 2025
    Client Alert
    FinCEN Issues Proposed Rule to Delay the Investment Adviser AML Rule by Two Years
    September 23, 2025
    Seminar/CLE
    Winston Hosts New York Financial Services Symposium 2025
    September 18, 2025
    View All Insights & News
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