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Andrew Todd Gorman is a seasoned attorney with deep experience in banking and financial markets and services. Based in Chicago, he advises clients on complex legal and regulatory matters affecting financial institutions, lenders, and businesses operating in highly regulated markets. His practice reflects a practical understanding of the demands facing organizations in today’s evolving financial landscape, where sound legal guidance, risk management, and strategic decision-making are essential. At Mayer Brown Rowe & Maw | Brady Corporation, Mr. Gorman brings a client-focused approach to his work, helping clients navigate sophisticated banking and finance issues with clarity and confidence. He is known for providing thoughtful counsel tailored to each client’s business goals, whether addressing day-to-day operational concerns or high-stakes transactional matters. His background in banking and financial markets and services positions him to support clients through a wide range of legal challenges in an environment shaped by regulatory scrutiny and market complexity. From his office at 71 S. Wacker Drive in Chicago, Mr. Gorman serves clients with professionalism, responsiveness, and a commitment to practical solutions. He works to ensure that clients receive clear guidance and dependable representation in matters that require both legal precision and commercial insight. His experience and dedication make him a trusted advisor for organizations seeking informed counsel in the banking and financial services sectors.
Banking attorneys advise financial institutions on regulatory compliance, transactions, and litigation. They help banks navigate complex financial regulations. Common matters include regulatory compliance, loan transactions, bank litigation, consumer finance.