Ben is a veteran lawyer who provides clients with specialized advice in matters pertaining to the financial services industry in Canada, business disputes, civil litigation, and estates matters. He practices in the Business Litigation and Estates groups of Cambridge LLP.
Ben has held senior positions in major financial institutions in Canada including serving as Chief Compliance Officer of one of Canada’s largest investment dealers and serving as a member of the board of directors of one of Canada’s largest trust companies. Ben also practiced in the Enforcement Branch of the Ontario Securities Commission.
He holds a number of investment industry designations and also holds a Masters degree in Securities Law from Osgoode Hall School.