Insights: News Releases Kilpatrick Townsend’s Chris Gattuso and Kevin Toomey: Featured Speakers at the 131st Annual Texas Bankers Association Convention
WASHINGTON, D.C. (April 9) – Kilpatrick Townsend & Stockton announced today that attorneys Chris Gattuso and Kevin Toomey will be featured speakers at the prestigious 131st Annual Texas Bankers Association Convention, April 15-17 at the J.W. Marriott in Austin, Texas.
Ms. Gattuso and Mr. Toomey will speak at a session titled, “Bank Regulatory Examinations: What Bankers Need to Know.” The presentation will present a roadmap for successfully preparing for and navigating bank examinations. They will focus on the critical supervisory, safety and soundness, information technology and compliance issues that regulators are most closely focusing on in their examinations. These include fair lending, third-party vendor management, Bank Secrecy Act compliance, cybersecurity, social media and other areas.
Ms. Gattuso is a partner focusing her practice on corporate and securities matters, financial institution regulatory matters and mergers and acquisitions. Her securities practice includes serving as counsel for both issuers and underwriters in public and private offerings of debt and equity securities and counseling clients on disclosure and other requirements under the federal securities laws. Ms. Gattuso has extensive experience in corporate reorganizations, strategic alliances and mergers and acquisitions for both public and private companies. She has represented numerous financial institutions on a variety of regulatory and enforcement matters, including those involving fair lending, third-party vendor relationships, privacy and cybersecurity.
Mr. Toomey focuses his practice on a wide array of corporate and regulatory matters for financial institutions and financial services clients. He represents financial services clients in regulatory, compliance and enforcement matters in front of the federal bank regulatory agencies, FinCEN, OFAC, the NCUA and CFPB. Mr. Toomey has experience advising clients on regulatory issues relating to cybersecurity, FCRA, FHA, ECOA, HMDA, TILA and the Dodd-Frank Act. In addition, he regularly represents clients on securities matters relating to mergers and acquisitions, public and private securities offerings, corporate governance and corporate reorganizations.
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