Sanford M Brown
USA Guide 2024
Band 3 : Financial Services Regulation: Financial Institutions M&A
Email address
[email protected]Contact number
+1 214 922 3505Share profile
Band 3
About
Provided by Sanford M Brown
Practice Areas
When community bankers want to buy, sell or raise capital, they call on Sandy to ease them through the transaction. Clients value his three decades of experience and banking industry connections as they navigate the growing regulatory environment.
Sandy counsels and represents financial institutions and specialty finance companies, as well as their shareholders and holding companies, in matters involving state and federal banking laws, regulations, and enforcement actions; in corporate transactions, such as mergers, acquisitions, securities offerings, and holding company matters; and on issues involving cybersecurity, privacy, and identity theft.
Sandy served in the Office of the Comptroller of the Currency from 1987 to 1989. His responsibilities included a wide range of matters relating to the regulation of national banks, including the development of banking policy in the areas of risk-based capital and dividends.
Career
Faculty, Southwestern Graduate School of Banking.
Education
Boston University
LL.M.
1987
University of Arkansas
J.D.
1986
University of Arkansas
B.S.B.A.
1983
Chambers Review
USA
Sanford Brown is coleader of the firm's financial services group and capably represents community banks in M&A transactions.
Strengths
Provided by Chambers
"Sandy is extremely knowledgeable."
"Sandy is extremely knowledgeable."