Meghan represents companies and individuals in connection with allegations of fraud, corruption, collusion or SRO rule violations brought by regulators including the Department of Justice, the Securities and Exchange Commission, FINRA and state regulators. She has also led internal investigations on behalf of corporate clients.

Meghan has also represented companies and senior management in actions brought by the SEC, FINRA, Federal Government, former employees and private parties, spearheading all aspects of litigation from pre-trial to appeal.

Prior to joining Sullivan, Meghan served as Principal Counsel in FINRA's Department of Enforcement.

Bar & Court Admissions

  • New York

Education

  • J.D., cum laude, Boston University School of Law
  • B.A., magna cum laude, Phi Beta Kappa, Kenyon College

Seminars & Presentations

Practices

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