Sitting in the firm's white-collar and complex litigation group, Olivia focuses on investigations involving the US Department of Justice, Securities and Exchange Commission, Commodity Futures Trading Commission, State Attorneys General, the New York State Department of Financial Services and other regulators.
These investigations frequently involve allegations of fraud, market manipulation, market misconduct, antimoney laundering violations or Foreign Corrupt Practice Act (FCPA) violations. Olivia also advises organisations on civil securities fraud actions and commercial disputes.
Following law school, Olivia clerked for the Honorable Robert D. Sack of the United States Court of Appeals for the Second Circuit.
Before becoming a lawyer, she began her career in the financial services industry, as a banker with Morgan Stanley.