Sebastian Souchet
Associate
Norton Rose Fulbright US LLP
Related services and key industries
Biography
Sebastian Souchet focuses his practice on representing US and non-US banks, broker-dealers and “buy-side” market participants on bank regulatory matters and regulatory, transactional and compliance issues related to securities and derivatives.
More specifically, Sebastian has experience advising US and non-US banks, bank holding companies, and other financial market participants on various bank regulatory issues including capital requirements, licensing/chartering requirements, control issues, affiliate and insider transactions, and the Volcker Rule.
Sebastian also has experience representing US and non-US banks and broker-dealers on various requirements arising under the US securities laws and the Commodity Exchange Act, including requirements relating to trading, supervision, recordkeeping, reporting, capital, margin and communications/marketing, as well as SEC and CFTC regulatory requirements arising under Title VII of the Dodd-Frank Act.
Sebastian also advises clients on complex financial transactions and has experience drafting and negotiating securities and derivatives trading documentation, including prime brokerage agreements, ISDA Master Agreements and various other industry-standard and bespoke trading and financing contracts.
Professional experience
Collapse allJ.D., magna cum laude, Fordham University School of Law, 2019
Order of the Coif
Fordham Law Review, Member
Mary Daly Scholar
B.A., summa cum laude, Adelphi University, 2016
- New York State Bar
Insights
FinCEN issues new AML rule impacting registered investment advisers and exempt reporting advisers
Publication | September 03, 2024