Josh Nimmo’s practice focuses on bank and financial regulatory matters.

Josh advises U.S. and international financial institutions on bank and financial regulatory issues, including the Volcker Rule, bank compliance with Regulation YY and resolution and recovery planning.

During law school, he clerked at the Commodity Futures Trading Commission, the Securities and Exchange Commission and the U.S. Department of the Treasury.

Josh joined the firm in 2016.

Selected Activities

Symposium Editor, Georgetown Journal of Legal Ethics

Publications