A former License Examining Officer at the U.S. Department of the Treasury’s Office of Foreign Assets Control (OFAC), she brings more than 15 years of private practice and government experience in advising US and non-US entities on compliance and cross-border investment risks across the spectrum of national security issues.
Her broad-based trade practice involves advising US and non-US companies and financial institutions in transactional, advisory, and enforcement matters, including risk and compliance assessments, licensing requests, voluntary self-disclosures, and investigations.
She also advises on Committee on Foreign Investment in the United States (CFIUS) matters, the outbound investment program, and related national security concerns. She has extensive experience negotiating investment structures, identifying risks in diligence, and representing both investors and targets before CFIUS.
Latest News
- Panelist, “Navigating the Shifting Sands of Trade and Sanctions: The Hidden, Real-World Lessons of Converging Export Controls, Tariffs, and Sanctions Enforcement,” ACI New York Forum on Economic Sanctions (2025)
- Moderator, “Decoding the Tariffs and the Trade War: A Fireside Chat,” 100 Women in Finance (October 2025)
- District of Columbia
- J.D., Boston College Law School
- M.P.A., New York University
- A.B., Brown University