Counsel to the General Agent and independent agency for a leading life insurance and financial services company in connection with FINRA arbitrated restrictive
covenant matter involving alleged non-compete and non-solicitation violations by certain agency producers.
Scott focuses his practice on general commercial litigation, including: bank regulatory and enforcement matters; defending directors and officers of failed banks in FDIC actions; commodities and securities regulatory enforcement and civil actions; professional liability claims; directors and officers liability insurance matters; and employment and restrictive
covenant matters.