Before joining Better Markets, Mr. Medina was the Deputy Chief Counsel for the House Financial Services Committee, where he drafted legislation and amendments and wrote reports on major financial regulatory issues considered by the Committee, including financial stability, systemic risk, and financial crises. Before that, he was a Senior Attorney at the Securities and Exchange Commission, an Associate General Counsel at Citigroup, Inc., and an associate at the law firms of Wilmer, Cutler & Pickering and Cravath, Swaine & Moore.
Mr. Medina holds an AB from Brown University and a JD with honors from the University of Chicago Law School.
The Role of CongressThe Mayflower Hotel
Washington, DC 20036
2015 National Lawyers Convention
Many observers of the U.S. financial system increasingly believe that the United States will soon...