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William John Seitz III is a seasoned attorney with extensive experience advising clients on complex legal and business matters involving antitrust and trade law, banking, and related regulatory issues. Based in Cincinnati, Ohio, he brings a disciplined, solutions-oriented approach to representing businesses facing high-stakes legal challenges in highly regulated industries. As a member of Taft, Stettinius & Hollister LLP and Dinsmore & Shohl, he is known for delivering thoughtful counsel grounded in a deep understanding of the legal and commercial issues that affect his clients. With a practice that spans antitrust & trade law and banking, William John Seitz III works with clients to navigate evolving regulations, manage risk, and address disputes with clarity and precision. He takes a practical approach to every matter, focusing on helping clients achieve sound outcomes while minimizing disruption to their operations. His work reflects a strong commitment to responsiveness, attention to detail, and strategic advocacy tailored to each client’s goals. Clients value William John Seitz III for his professionalism, insight, and steady guidance in matters where legal and business considerations intersect. Whether advising on competition concerns, trade-related issues, or banking matters, he is committed to delivering dependable counsel and helping clients move forward with confidence.
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.