Provides Testimony In

Legal Malpractice, Public Finance, Capital Markets, Commercial Finance, Real Estate Finance, Purchase Order Finance, Asset Based Lending, Article 9 &, Secured Transactions, Factoring, Securitization.Syndications, Bank Credit Policies, Procedures and Processes, Regulatory Compliance, GRC and ERM, Special Assets, Workouts and Restructurings, Bank Mergers and Acquisitions, PAAs and Shared-Loss, Bankruptcy and Creditor’s Rights, Public Private Partnerships, Contracts, Legal Malpractice, Debtor and Creditor Rights


This Expert serves as expert witness in cases involving lender liability, legal malpractice, complex lending and credit facilities in the private and public sectors, fraud and creditor’s rights cases.  He provides select financial institution consulting through his company.  His expertise includes Governance, Risk Management and Compliance, Bank Mergers and Acquisitions and Special Asset engagements. He has niche expertise in the due diligence attendant to extending commercial and public credit including policies, procedures and processes.  He is a due diligence expert.  Over the last three years, he has developed niche expertise in the representing EB-5 Regional Centers and investors under the United States Foreign Investment Job Creation Program. Expert continues to represent borrowers, investors and lenders in connection with domestic and foreign private equity and debt investments in commercial real estate projects in both the private and public sectors.

In addition to serving as an expert witness and providing litigation support and consulting, Expert served as Senior Vice President of Credit Risk Management and Chief Counsel for Ardmore Banking Advisors, Inc.; a Managing Director of Integrated Compliance Solutions, LLC (“ICS”); and founding member of Precision Loan Solutions, LLC, a subsidiary of ICS. In both advisory firms he was responsible for overseeing government and commercial compliance, risk management and due diligence engagement in the commercial lending and public finance sectors.

Over the last eight years he has framed and conducted various risk and compliance  assessments and advised banks in:  mergers and acquisitions; special assets and TDRs; developing compliant and “best practice” strategic plans, risk appetite scenarios, credit policies, procedures and processes; due diligence “best practices” in underwriting commercial loans and public financings;  and emerging regulatory and compliance best practices. He has also provided forensic and regulatory consulting services to the financial community, law firms, accounting firms, the FDIC, SEC and Justice Department.  Experthas been certified as an expert and provided litigation support in a number of lender liability, legal malpractice, fiduciary duty, fraud and creditor’s rights cases.  He has lead forensic loan review engagements for the FDIC in connection with bank seizures.

Prior to becoming a consultant, he was a financial services attorney involved in the consumer, public and commercial financial markets generally representing lenders, borrowers, investors and issuers.

BALLARD SPAHR LLP, Of Counsel. Philadelphia, PA, May, 2004 – April, 2008

  • Public Private Partnerships and innovative public financial structures including Military Housing and Transportation Infrastructure (representing  TIFIA JPO), underwriters, issuers, lenders and borrowers;
  • Complex commercial and public credit facilities including: project finance; syndications; revenue stream securitization; debt portfolio sales and purchases; tax lien securitization; and collateralized surety bonding programs; and
  • Microfinance for CitiGroup and Grameen Foundation-Grameen’s Chairman won Nobel Prize for first of its kind structure.

PARKER MCCAY PA, Partner.  Cherry Hill, NJ, June, 2001 – May 2004

  • Hired as “in-house” counsel to Commerce Bank, NA;
  • Developed policy, procedures and documentation for workout, public finance, healthcare, equipment leasing, asset based lending and letters of credit;
  • Counseled  senior management and loan officers on and facilitated new product development including healthcare, equipment leasing and asset based lines of business; and
  • Oversaw due diligence, documentation and closing of:  syndicated credit facilities; public finance and direct bond financings; equipment leasing; C&I and asset based lending.

BLANK ROME LLP, Of Counsel.   Philadelphia, PA, April 1997 – May 2001Asset-based financing, securitizations, secured and unsecured revolving credit and term loan financing;

  • Debtor in possession financing, syndicated loans, equipment leasing, synthetic lease and sale-leaseback transactions, mergers and acquisitions and letter of credit enhanced financing;
  • Public and municipal finance;
  • Developed practice in bulk and forward flow bad credit card debt sales principally on behalf of money center banks; and
  • Helped developed niche practice groups addressing emerging healthcare and telecommunications finance.

LEITESS & ASSOCIATES, PC, Partner. Voorhees, NJ, March 1996 – March 1997

  • Started Delaware Valley office of Baltimore based firm;
  • Bank, finance and equipment leasing company transactions; and
  • Creditor’s rights, workouts and bankruptcy matters.

CLARK LADNER FORTENBAUGH & YOUNG, Partner. Cherry Hill, NJ, Jan. 1986 – Feb. 1996

  •  Solicited to help start a New Jersey office with one Partner which grew to 32 attorneys;
  • Real estate, banking, commercial and public finance;
  • Residential Mortgage Lending and Banking;
  • Mergers and acquisitions;
  • Lead counsel in restructuring and liquidating Mutual Benefit Life in Rehabilitation;
  • New Jersey Advisory Board member-Chemical Bank.  Advisory Board member – Farm Credit; and
  • Resolution Trust Corporation counsel.

WACKS, HIRSH, RAMSEY & KIMMEL, Associate. Morristown, NJ, Jan. 1984 – Dec. 1986

  • Commercial real estate development, land use and finance; Economic and industrial development bond transactions; and Ethics opinions; and
  • Residential real estate.

ZOCK, PETRIE, REID & CURTIN, Summer Associate, Associate. New York, NY, June 1982 – Dec. 1984

  • Construction and financing agreements for 129 vessels for Sanko Kissen (USA); and
  • Charter parties, bills of lading and arbitration of charter party disputes.

ADMISSIONS: the States of New York (1984) and New Jersey (1985)


  • Vermont Law School – Juris Doctor, May 1983
    Summer Environmental Law Program

Independent study with Professor Grant Gilmore:  Adjudication of Maritime Liens in Bankruptcy

  • Dickinson College – Bachelor of Arts, May 1980
    Majors:  Economics, Philosophy
    Nisbit Scholars Program


  • The Association of Commercial Finance Attorneys (“ACFA”) (past Officer and  Executive Board member) 1985-Present
  • American Bar Association (Section on Business Law – Commercial Finance Committee) 1986-2001
  • Turn Around Management Association 1990- 2013
  • National Bond Lawyers Association 1998-2008
  • Commercial Finance Association 1990- 2008
  • Asset Based Securitization East National Conference 2003, 2004, 2005
  • National Association of Industrial and Office Properties 1986-Present
  • Equipment Lease Finance Association (1997-2007)
  • Risk Management Association  2009-Present
  • Association of Corporate Growth  2008- 2012
  • New Jersey Bankers Association  2009-2013
  • Southern New Jersey Development Council –  2012- Present


Available Upon Request


  • Board of American Liver Foundation (Past Co-chairman and President of the Delaware Chapter of the American Liver Foundation)
  • Board Member of the Philadelphia Orchestra, Corporate Council Committee
  • Co-chairman of the Philadelphia Orchestra New Jersey Fund Raising Committee, Founder of Children’s Outreach Program
  • Past Trustee of Cooper Foundation, Cooper University Medical Center Camden
  • Past Board Member of Hal Prince American Music Theatre Festival
  • Fundraising Committee Moorestown Friends School

Outreach Minister (“Good Financial Sense”) for Fellowship Alliance Church



Among other litigations, Experthas provided expert testimony, litigation support and dispute resolution services in the following matters since retiring from the practice of law in April of 2008:

  • FDIC forensic commercial file review in connection with the seizure of Main Street Bank. Engagement focused on fraud and gross negligence of bank senior management and board. Reports provided and deposition testimony rendered. Uncovered major fraud against Fannie Mae in which the bank’s senior lender participated.
  • Represented minority shareholders in shareholder derivative action. Deposition taken and testimony provided.
  • Represented borrowing entity in case against Compass Bank and parent BBVA for violation/abuse of Purchase and Assumption Agreement and Shared-Loss procedures. Facilitated amicable and successful settlement of case protecting borrowers’ $33MM equity investment and release of principals’ guaranties. Worked with FDIC legal/enforcement group in connection with case.
  • Legal malpractice case against bankruptcy attorney/firm. Case settled after rendering report.
  • Worked in conjunction with ICS Compliance (in which he was a Managing Director) and lead counsel, Conrad & Scherer (representing investors),  providing forensic analysis and due diligence in Rothstein ponzi scheme case in Florida resulting in $175MM settlement with TD Bank (f/k/a Commerce Bank NA). Testimony Provided.
  • Represented Stuart Title in case of first impression defending a claim by a judgment creditor against lender seeking equitable subordination of bank’s first liens on realty and personalty by virtue of extending a credit facility which clearly violated bank’s lending policy.  Detailed report rendered and deposition taken.  Case resolved favorably on summary judgment.
  • Approved by Trustee in Bankruptcy in a component of the Petter’s ponzi scheme case seeking recovery from Petters family trust, third parties and certain banks. Case involves deviation from standards in the industry, good faith and fiduciary responsibilities in purchase order, asset based, bankruptcy remote trade receivable securitization and factoring structure. Case settled.
  • Provided deposition and court testimony in shareholder derivative claim involving fraud.  Case resulted in favorable judgment.
  • Certified as an expert and represented two other borrowing groups in FDIC shared-loss abuse cases resulting in amicable settlements after reports delivered and settlement meetings attended.
  • Represented Co-Arranger, Co-Syndication Agent in actions brought by the Trustee of the Le-Nature’s Liquidation trust in connection with the Le-Nature’s $880MM Ponzi scheme case.  Report rendered and case settled.
  • Represented law firm and City of Burlington Vermont in defending an action by CitiBank to recover deficiency under a defaulted tax-free non-appropriation municipal lease for high speed cable and internet system. Case settled after rendering Report.
  • Represented Lloyds of London in a residential real estate case defending ReMax.
  • Represents a national mortgage company in a suit against Bank of America as a servicer of residential mortgages for breach of the servicing agreement and non-compliance.
  • Represents pastor and church in fraud suit against real estate development partner in connection with the Metropolitan Opera House redevelopment project in Philadelphia.


In addition to the above matters, Expert has been deposed on many instances over the years principally in connection with lending issues in the private and public sectors, financial contracts and restructured loans in bankruptcy. He has also given testimony to various government agencies and committees involving the proposed revision to the Bankruptcy Code, Revised Article 9 of the Uniform Commercial Code and the Rating Agencies on matters pertaining to public finance.

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