Logan advises clients on the requirements, impact, and implementation of financial regulation, with a focus on regulatory issues related to digital assets, cryptocurrency, and digital banking. His clients include financial institutions, fintech firms, startups, and tech companies.
Logan counsels clients on a wide range of legal matters, including federal and state bank and trust company charters and virtual currency-specific licenses; permissible activities for regulated financial institutions; and examinations and enforcement actions. He also advises companies on compliance with prudential standards, consumer protection requirements, anti-money laundering and sanctions requirements, and cybersecurity and privacy requirements.
*Admitted in District of Columbia and New York only.
Professional Recognition
- Recognized by Best Lawyers: Ones to Watch for Privacy and Data Security Law, 2024
Professional Leadership
- Certified Information Privacy Professional (CIPP/US, CIPP/E, CIPM) through the International Association of Privacy Professionals (IAPP)
Related Employment
- Mayer Brown LLP, Washington, D.C., Associate, 2019 – 2021
- PwC Advisory, New York, NY, Associate, 2016 – 2019