Admitted
1984, Maryland; 1995, District of Columbia
Law School
University of Baltimore, J.D., 1983
Law School Graduation Year
1983
College
King's College, B.S., 1979
Memberships
Maryland State and American Bar Associations; District of Columbia Bar.
Biographical
Author: Fair Lending Compliance After Chevy Chase, The Review of Banking & Financial Services, Dec. 7, 1994; The New CRA Examination Procedures, The Review of Banking & Financial Services, Jan. 31, 1996; Interagency Interpretations Under the Community Reinvestment Act, The Review of Banking and Financial Services, April 9, 1997; Guide to Financial Data Privacy, Thompson Publishing Group, 2000. Co-Author, with Douglas P. Faucette: Establishing a Charitable Foundation: The Benefits to Financial Institutions, Community Banker, February 2001; Regulatory Counsel, 1987-1988 and Attorney, 1985-1987, Federal Home Loan Bank Board. Attorney, Division of Market Regulation, Securities and Exchange Commission, 1984-1985.