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Randy Benjenk represents domestic and foreign financial institutions and trade associations on bank regulatory issues that include compliance strategies, government affairs, and transactional matters.

Chambers USA says he has received “widespread praise” from clients, who describe him as “excellent” and say that “the quality of his legal work and his writing abilities were incredible” and “he’s very easy to work with, knowledgeable and efficient.”

Mr. Benjenk regularly advises clients on complex bank activities, structure, licensing, and prudential matters, often involving issues of first impression at the federal banking agencies.

  • Representation of General Electric and Synchrony Financial in connection with exchange offer to complete the separation of Synchrony from GE and in connection with Federal Reserve Board application process and approval required for the separation of Synchrony from GE.
  • Representation of foreign national in acquisition of U.S. bank in a highly contested sale under section 363 of the Bankruptcy Code.
  • Representation of financial institutions and trade associations in U.S. and international policy matters.    
  • Representation of Brown Brothers Harriman & Co. in a variety of regulatory matters.
  • Representation of banking organizations in development of resolution plans and recovery plans.
  • Representation of foreign banks in expansion of their U.S. operations.

Pro Bono

  • Representation of City First Enterprises and City First Bank of D.C., N.A. on bank regulation and corporate governance matters. 
  • Representation of Washington Area Bicyclist Association in local policy advocacy.
  • Representation of international NGO clients on global policy issues.
  • Chambers USA, Financial Services Regulation: Banking (Compliance) (2020)