Logan is a Financial Services Regulatory & Enforcement associate in Mayer Brown's Washington DC office. He counsels US and non-US financial services firms on a variety of regulatory, compliance, enforcement, and transactional matters, including permissible structures and activities; regulatory conversions; regulatory capital requirements; recovery and resolution planning; compliance with the Volcker Rule restrictions on proprietary trading and investment fund affiliations; regulation of foreign banking organizations; and anti-money laundering compliance. Logan also advises on privacy, data security, and other regulatory issues related to electronic banking, and is accredited as a Certified Information Privacy Professional for Europe (CIPP/E) and the United States (CIPP/US) by the International Association of Privacy Professionals.
University of Virginia School of Law, JD
University of Florida, BA
- New York
- Not admitted in the District of Columbia. Practicing under the supervision of firm principals.