“Our clients expect timely and sound advice concerning the management and resolution of regulatory issues.”
Financial institutions face a constantly changing regulatory environment filled with uncertainty that can have an unsettling effect on the institution, as well as its officers, directors and shareholders. That’s why we keep our finger on the pulse of the regulatory landscape and assist our financial institution clients with their compliance efforts by proving timely, practical and results-oriented advice. Our breadth of experience spanning decades is especially beneficial to our clients as they work through and resolve regulatory enforcement investigations and problem examinations. Together with our specialists in tax, criminal and business planning, we offer our clients an integrated approach to regulatory problem-solving.
Douglas E. Quinn
AttorneyPhone (402) 341-3070dquinn@mcgrathnorth.com
David H. Roe
Of CounselPhone (402) 633-1407droe@mcgrathnorth.com
Stacey A. Shadden
Attorney, Chair, Business and Corporate GroupPhone (402) 633-9591sshadden@mcgrathnorth.com