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Steven E. Gross, a seasoned attorney with over six decades of legal experience, stands as a pillar of expertise in the realm of Securities & Investment Fraud, Corporate & Incorporation, and Banking law. Practicing at the prestigious Law Offices of Steven E. Gross, Sills Cummis & Gross P.C., and Sills Cummis Epstein & Gross, A Professional Corporation, located in the iconic 30 Rockefeller Plaza in New York City, Steven has built a formidable reputation for his in-depth knowledge and strategic acumen in navigating complex legal landscapes. Throughout his distinguished career, Steven has consistently demonstrated an unwavering commitment to safeguarding his clients' interests. His extensive experience in securities and investment fraud cases has equipped him with the ability to anticipate and counteract intricate legal challenges, ensuring that his clients receive the most comprehensive and effective legal counsel. In the corporate and incorporation sector, Steven's expertise in structuring and advising businesses is unparalleled, providing tailored solutions that foster growth and compliance in an ever-evolving regulatory environment. His proficiency in banking law further reinforces his capability to guide clients through the intricacies of financial regulations and transactions. Steven's professional approach is characterized by meticulous attention to detail and a deep-seated dedication to client success. He takes pride in fostering strong relationships with his clients, offering personalized legal strategies that are both innovative and pragmatic. As a trusted advisor, Steven Gross remains a steadfast advocate for his clients, ensuring that their legal needs are met with the highest standards of excellence and integrity. Whether defending against complex fraud allegations or advising on corporate governance, Steven's authoritative presence and wealth of experience make him a distinguished leader in the legal community.
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.