
Ryan Last
Professional Bio
Ryan provides comprehensive corporate advisory and transactional services to a diverse range of domestic and international clients, including those in the entertainment, financial services, venture capital, private equity, energy, insurance, consumer products, and retail sectors. With a background as vice president at Nomura, he brings a deep understanding of the regulatory landscape, offering clients advice on legal and compliance matters and product development. This includes corporate governance, contractual matters, mergers and acquisitions, capital market transactions, fund formation, SEC filings, and more.
FinCEN Ends BOI Reporting for US Companies — What Financial Institutions Need to Know for AML Compliance
Financial Services Blog ·
From Broad to Barely There: The NYLTA’s Dramatic Scope Reduction
Financial Services Blog ·
Relief Is Real, But Not Universal: FinCEN Permanently Ends BOI Reporting for US Companies
Financial Services Blog ·
From Crypto to Compliance: How the GENIUS Act Is Reshaping Stablecoin KYC Obligations
Financial Services Blog ·
FinCEN’s AML Reset: Proposed Rule Rewrites the Playbook for AML/CFT Programs
Financial Services Blog ·