Practice Area

Banking & Financial Disputes

Asset recovery, financial fraud litigation, securities compliance, and regulatory enforcement.

Practice Scope & Expertise

Our financial dispute practice represents institutional and private clients in asset tracing, investment misrepresentation, broker liability, and regulatory proceedings before major financial authorities.

Our attorneys evaluate liability, preserve client rights, and establish clear strategic avenues for resolution. We prioritize resolving matters efficiently and amicably whenever possible, but remain prepared to litigate aggressively when our client's interests require trial proceedings.

Our Strategic Approach

01

Confidential Consultation & Intake

We review documents, assess exposure, and determine legal viability and jurisdiction.

02

Strategy Development & Discovery

Your lead attorney crafts a tactical roadmap tailored to your specific matter objectives.

03

Court Action or Formal Negotiation

We demand compliance, file legal actions, and pursue all available administrative and judicial remedies.

04

Resolution, Settlement & Enforcement

Securing binding settlements, court judgments, and final disbursement of recovery proceeds.

Attorneys in this Practice Area

James Ashford

James Ashford

Founding Partner & Head of Litigation

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Patricia Duhn

Patricia Duhn

Partner, Corporate & Employment

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Michael Sterling

Michael Sterling

Partner, Criminal Defense & White Collar

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Jonathan Vance

Jonathan Vance

Senior Managing Partner

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Alistair Sterling

Alistair Sterling

Partner, Commercial Litigation & Arbitration

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Victoria Adeyemi

Victoria Adeyemi

Partner, Corporate, M&A & Financial Regulation

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Charles Montgomery

Charles Montgomery

Partner, White Collar & Regulatory Defense

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