Goldberg Segalla is pleased to announce that attorney Andrew H. Reynard has joined our Management and Professional Liability practice group in the Manhattan office, bringing more than 20 years of experience encompassing diverse areas of law and managing high-profile cases impacting the financial services, investment management and insurance industries.
“We are excited to welcome Andy to our expanding national practice,” said Jonathan Ziss, co-chair of the firm’s Management and Professional Liability practice. “Andy has built a sterling reputation as an innovative and effective litigator. His extensive experience and proven track record will be a tremendous asset to our team and clients.”
Andy has appeared in federal and state courts on behalf of institutional and individual clients in matters involving commercial litigation, employment, intellectual property, banking and securities, antitrust, and insurance litigation as well as regulatory, internal and white-collar investigations. He has advocated for clients in investigations brought by the Financial Industry Regulatory Authority (FINRA), the Securities and Exchange Commission (SEC), the U.S. Attorney’s Office for the Southern District of New York (SDNY), the New York Attorney General (NYAG) and the Federal Trade Commission (FTC).
After practicing law in Australia for the past two-and-a-half years, adding experience in matters that involve international or commonwealth businesses to his sophisticated skill set, Andy made the decision to join Goldberg Segalla based on the firm’s excellent reputation. “I am excited to focus on achieving successful, effective and efficient outcomes for the clients of this great firm,” Andy said.