Brian Finch is a partner in the law firm’s Public Policy practice and is based in Pillsbury’s Washington, DC office. Named by Washingtonian magazine in 2011 as one of the top 40 federal lobbyists under the age of 40 and by Law360 as one of its “Rising Stars” in Privacy Law in 2014, Brian is a recognized authority on global security matters. He specializes in counseling on regulatory and government affairs issues involving the Department of Homeland Security, Congress, the Department of Defense, and other federal agencies. Brian in particular focuses his practice on assisting clients with matters involving cyber security, national defense and intelligence policies, homeland security concerns, and in general providing proactive advice to mitigate liability in the event of a significant security incident.
Areas of Concentration
Brian is a leading authority on the SAFETY Act, a federal statute that can provide liability protection to companies following a terrorist or cyber attack. He has helped prepare over 100 applications for such protections, including for services and technologies such as security guards and vulnerability assessments to software programs and security screening devices. He also testified twice before the U.S. Congress on matters related to the SAFETY Act, and writes regularly about its practical application for business.
Brian is recognized as a leading legal authority on matters related to cyber security, including the legal and policy challenges associated with the consequences of companies suffering a cyber attack, as well as the steps that can be taken to help mitigate the risk of attack as well as post-event litigation.
Brian also regularly advocates on behalf of companies seeking to ensure that federal agencies have sufficient funding for contract vehicles in which they participate. Brian has represented a wide variety of clients on security matters, including Major League Baseball, FireEye, Inc,, the American Gas Association, the American Public Power Association, the Edison Electric Institute, the National Rural Electric Cooperative Association, Honeywell International, L-3 Communications, Emgerent BioSolutions, Washington Gas, Brookfield Office Properties, G4S, and McAfee Inc.
Prior to joining Pillsbury, Brian practiced with two Washington, DC law firms and worked as a legal intern with the Office of Chief Counsel of the Drug Enforcement Administration, U.S. Department of Justice.
Brian is a senior advisor to the Homeland Security and Defense Council, serves the National Center for Spectator Sports Safety and Security’s advisory board, and as an inaugural Senior Fellow at George Washington University’s Homeland Security Policy Institute. Brian is a professorial lecturer in law at The George Washington University Law School, where he co-teaches homeland security law and policy.
Brian regularly speaks and writes on security issues. He has cyber security blog on The Huffington Post, a regular cyber security column on the Fox Business website, and appears regularly on cable news as a security expert. He also has authored or co-authored articles for the Wall Street Journal, Politico, The Hill, National Journal, The Washington Times, and other publications.
Honors & Awards
Law360 – Rising Stars, April 2014
Washingtonian 40 Lobbyists Under 40, March 2011
Information Security Issues, Practising Law Institute Financial Services IT 2014: Avoidance of Risk Seminar, May 21, 2014
Cybersecurity: Progress and Challenges to Keep Your Co-Op Safe, National Rural Electric Cooperative Association Legal Seminar 54, May 20-21, 2014
Cultivating Ethics: Mitigation Vulnerability to Cyber and Data Security Threats in Order to Maintain Client Confidentiality, Virtual LegalTech, May 15, 2014
Insight on Cyber Security Strategies, Cyber Security and Countering Corporate Espionage Symposium, May 1, 2014
Surviving the Cyber Tsunami: Cybersecurity Worries and Opportunities for Security Contractors, 2014
Security Industry Association Education@International Security Conference and Exposition West, April 2, 2014
Cassandra “Cassie” Lentchner utilizes her unique background in financial services regulations and regulatory relationships to strategically analyze and balance risk with business advancement and development.
Cassie has extensive experience coordinating between diverse constituencies and implementing and supervising all aspects of a legal and compliance program. In the banking sector, she focuses her work on regulatory compliance, including the development and assessment of programs to implement and monitor regulatory requirements, including programs for cybersecurity, anti-corruption, government and political activities, ethics and global financial crimes. While at New York State’s Department of Financial Services, she served as head of compliance for the state’s regulator of financial services companies. In this position, she concentrated on and made key achievements in initiatives focusing on cybersecurity, anti-money laundering and fintech licensing.