Banking

What To Expect In Banking In 2023 (Podcast) – Financial Services



To print this article, all you need is to be registered or login on Mondaq.com.

The end of 2022 saw a few noteworthy proposals and other actions
by the US banking regulators. Final rulemakings on some proposals
may come in 2023 but likely not before we see additional proposals
in the first half of the new year. Some are long-awaited, and
others are newly inspired, actions of the moment. Please join Mayer
Brown partners Jeffrey Taft and Matt Bisanz as they discuss
what’s happening and how it may impact the banking
industry.

Visit us at
mayerbrown.com

Mayer Brown is a global legal services provider
comprising legal practices that are separate entities (the
“Mayer Brown Practices”). The Mayer Brown Practices are:
Mayer Brown LLP and Mayer Brown Europe – Brussels LLP, both limited
liability partnerships established in Illinois USA; Mayer Brown
International LLP, a limited liability partnership incorporated in
England and Wales (authorized and regulated by the Solicitors
Regulation Authority and registered in England and Wales number OC
303359); Mayer Brown, a SELAS established in France; Mayer Brown
JSM, a Hong Kong partnership and its associated entities in Asia;
and Tauil & Chequer Advogados, a Brazilian law partnership with
which Mayer Brown is associated. “Mayer Brown” and the
Mayer Brown logo are the trademarks of the Mayer Brown Practices in
their respective jurisdictions.

© Copyright 2020. The Mayer Brown Practices. All rights
reserved.

This
Mayer Brown
article provides information and comments on legal
issues and developments of interest. The foregoing is not a
comprehensive treatment of the subject matter covered and is not
intended to provide legal advice. Readers should seek specific
legal advice before taking any action with respect to the matters
discussed herein.

POPULAR ARTICLES ON: Finance and Banking from United States

Private Fund Advisers 2023 Regulatory Outlook

Morrison & Foerster LLP

Sponsors and managers of private funds must attend to various routine regulatory and compliance tasks, which can include ongoing reporting obligations under the Investment Advisers Act of 1940…

Top 5 SEC Enforcement Developments For December 2022

Morrison & Foerster LLP

In order to provide an overview for busy in-house counsel and compliance professionals, we summarize below some of the most important and interesting SEC enforcement developments from the past month, with links to primary resources.



Source link

Leave a Response