A Law360 "Rising Star," Al Rota represents financial institutions and major corporations in complex structured products, securities, and commercial litigation and related government enforcement actions. He has represented clients in mortgage-backed securities-related litigation, securities and consumer finance class actions, SEC and DOJ investigations, and bank regulatory examinations, investigations, and enforcement actions. Al is a member of Jones Day's global, cross-disciplinary LIBOR transition team focused on advising financial institutions and corporate issuers as they evaluate the legal and regulatory risks arising from the expected transition to alternative reference rates.
Al's recent representations include defending financial institutions against cutting-edge claims challenging industry practices and established financial products. For example, he has defended financial institutions in: class actions and numerous other significant cases brought against a RMBS (residential mortgage-backed securities) trustee; checking account overdraft class actions; examinations concerning allegedly unfair and deceptive mortgage servicing and checking account practices; examinations and investigations pertaining to mortgage loan servicing practices and foreclosures; and various OCC, FDIC, CFPB, and attorney general investigations. Al counsels investment advisors regarding risks and legal developments relating to investments in products and companies involved in consumer financial services. In addition, he served as an Assistant District Attorney in Dallas County, where he tried more than 20 cases to jury verdict.
Al is a member of the Dallas Regional Chamber's Leadership Dallas Class of 2017 and serves on the board of the St. Anthony School in Dallas. He regularly writes and speaks on issues related to consumer financial products and securitizations.
Expérience
- September 25-26, 2017
ACI’s 24th National Forum on Residential Mortgage Regulatory Enforcement & Litigation - January 14 -15, 2016
American Conference Institute's 19th National Forum on Residential Mortgage Litigation & Regulatory Enforcement - June 25, 2015
ACI's 4th Bank & Non-Bank Forum on Mortgage Servicing Compliance - April 30 – May 1, 2015
ACI's 17th Residential Mortgage Litigation and Regulatory Enforcement Conference - March 2-5, 2015
CFSA's 15th Annual Meeting & Conference - January 15-16, 2015
ACI's 16th National Forum on Residential Mortgage Litigation and Regulatory Enforcement - January 16-17, 2014
The CFPB's Regulatory and Enforcement Agenda: Post-Implementation Issues and What to Expect Going Forward - January 15, 2014
Lending Outside the Safe Harbor - November 21 - 22, 2013
Enterprise-Wide Compliance Systems: What Will Regulators Expect and How To Implement the Best Program/Platform for Your Company or Client - October 9, 2013
The New Normal of Consumer Finance Regulation and Compliance: Significant Trends for the Second Half of 2013 - September 26 – 27, 2013
The CFPB’s Regulatory and Enforcement Agenda: Changes on the Horizon and Adapting Your Practice in Anticipation of January 2014 Implementation Dates - June 11, 2013
CFPB Update: An Agency Begins to Find Its Regulatory Voice - March 28, 2013
A Guide to Forensic Accounting Investigation: A View from the Trenches - February 12, 2013
CFPB Update: Enforcement Priorities and Best Practices Before an Evolving Bureau - June 7, 2012
Jones Day Chicago 2012 MCLE University
- Fordham University (J.D. cum laude 2001; Order of the Coif); Syracuse University (B.A. in Political Science magna cum laude 1998)
- Texas, New York, New Jersey, and U.S. District Courts for the Northern District of Texas and the Eastern, Southern, and Western Districts of New York
- New York City Office of the Corporation Counsel, Summer Honors Program (1999)
Law360 — "Rising Star under 40" (2015)
D Magazine — "Best Lawyers in Dallas" (2015, 2017-2018)
Texas Super Lawyers — "Rising Star" (2013-2016)