Jenny has more than 20 years of experience in financial services’ legal, risk and regulatory advisory, including as a former Federal Reserve supervisor and bank risk management executive serving prominent financial institutions and multinational corporations. She is accustomed to executing complex strategic initiatives across jurisdictions, products, and services in challenging supervisory environments in the US, UK, and Asia. She currently advises bank holding companies, subsidiaries and boards, subject to increasingly stringent prudential rules and regulatory expectations under multi-agency oversight.
Her experience includes serving as an examiner-in-charge executing targeted and horizontal examinations of regional and large portfolio banks in financial, operational and strategic risk domains inclusive of assigning statutory bank ratings. She is also experienced in banking and financial services entity formation, licensure, and application processes (de novo, change in control, new and novel banking practices, required disclosures).
She holds a BA from Augustana College, an MBA from North Park University, a JD from the Chinese University of Hong Kong, and an LLM from Stetson University College of Law.