Andrew Marsh is an associate in the firm’s Litigation Practice Group who represents small and large financial institutions, as well as high-net-worth individuals in the financial services industry. He counsels clients on a variety of employment law matters and defends clients facing regulatory investigations before state regulators, FINRA and the SEC.
Andrew advises employers and financial institutions regarding compliance with and enforcement of restrictive covenants, including covenants not to compete, customer non-solicitation, and confidentiality.
He received his law degree from New England School of Law in Boston, where he concentrated on business law and litigation and received his compliance and risk management certification.