Camille L. Orme

Camille Orme is a member of the Firm’s Financial Services Groups. Her practice focuses principally on banking regulatory and transactional matters. She has represented U.S. and non-U.S. financial institutions in a wide range of corporate, transactional and regulatory matters. Her areas of expertise include bank regulatory advice (including transactional structuring advice), bank investments and activities powers, affiliate transactions, and the “push out” provisions of the Gramm-Leach-Bliley Act. Ms. Orme regularly advises major financial institutions that recently registered as bank holding companies on bank holding company conversion implementation matters. In addition, Ms. Orme has advised on numerous transactional matters (including JPMorgan Chase & Co.’s acquisition of the assets and liabilities of Washington Mutual Bank, the sale of Sterling Financial Corporation to PNC, the sale of KeyCorp’s McDonald Investments to UBS, HSBC's sale of 195 branches and $15 billion of deposits to First Niagara Bank and its sale of its card and retail services business in the United States to Capital One Financial Corporation – the largest credit card portfolio transaction ever done) and corporate and disclosure matters (including periodic and current reporting obligations, Sarbanes-Oxley implementation and general corporate law). She also has experience with derivatives regulation and the formation and designation of electronic exchanges.

Good to know

Areas of Practice 1) Commodities, 2) Futures & Derivatives, 3) Financial Services and 4) Alternative Investment Management
Law School University Chicago School of Law (J.D., 2000)
Admitted Year 2000
Education University of Georgia (A.B., 1996)
Bar Member / Association New York State Bar Association
Most recent firm Sullivan & Cromwell LLP
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