FacultyFaculty/Author Profile
Simon Dodds

Simon Dodds

Deutsche Bank
Co-General Counsel
London, , GBR


SIMON DODDS is Co-General Counsel at Deutsche Bank AG.  Mr Dodds joined Deutsche Bank in 1999 when Deutsche Bank took over Bankers Trust Company.  At that time, he was appointed General Counsel UK, based in London, and from 2001, became General Counsel UK and Western Europe.  From 2010 to 2013, Mr Dodds was Global Head of Compliance at Deutsche Bank;  in January 2013, he became Co-Deputy General Counsel; and assumed the role of Co-General Counsel in January 2016.  From 1991, Mr Dodds had been Managing Director in the Legal Department of Bankers Trust Company in London.  Before joining Bankers Trust, Mr Dodds was an Associate at Cleary Gottlieb Steen & Hamilton in New York and London.  Mr Dodds attended Northwestern University School of Law, JD, 1984 and was an undergraduate at Cambridge University.

Professional Career

1984-1991, Associate, Cleary Gottlieb, Steen & Hamilton, New York and London; 1991-1999, Managing Director and Counsel, Bankers Trust Company, in London (became Managing Director in 1994); Appointed General Counsel UK, Deutsche Bank AG, June 1999; Appointed General Counsel UK & Western Europe, Deutsche Bank AG, April 2002; Appointed Global Head of Compliance, Deutsche Bank AG, April 2010; Appointed Deputy General Counsel, Deutsche Bank AG, February 2013.  Appointed Co- General Counsel, Deutsche Bank AG, 1st January 2016.

Simon Dodds is associated with the following items:
Web Segment  Web Segment The Challenges of Post-Crisis Regulation and Brexit - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
CHB Chapters  CHB Chapters Memorandum on Individual Accountability for Corporate Wrongdoing—U.S. Department of Justice—Office of the Deputy Attorney General (September 9, 2015) - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
Remarks Before Meeting with Iranian Foreign Minister Javad Zarif; Secretary of State John Kerry—U.S. Department of State (April 22, 2016) - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
CO/3809/2016; CO/3281/2016: Skeleton Argument of the Secretary of State (September 30, 2016) - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
Financial Conduct Authority: Discussion Paper—Overall Responsibility and the Legal Function (September 2016) - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
New York State Department of Financial Services Proposed Regulations—23 NYCRR 500: Cybersecurity Requirements for Financial Services Companies - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
Link to Selected Article from the Wall Street Journal: Kerry’s Peculiar Message About Iran for European Banks: Why is Washington Pushing Banks Like Mine to Do What is Still Illegal for American Banks? By Stuart Levey - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
Acting Associate Attorney General Bill Baer Delivers Remarks at American Antitrust Institute’s 17th Annual Conference (June 16, 2016) - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
The Process for Withdrawing from the European Union (February 2016) - Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Monday, January 23, 2017
MP3 Audio  MP3 Audio The Challenges of Post-Crisis Regulation and Brexit - The Challenges of Post-Crisis Regulation and Brexit, Monday, January 23, 2017
Transcripts  Transcripts The Challenges of Post-Crisis Regulation and Brexit - The Challenges of Post-Crisis Regulation and Brexit, Monday, January 23, 2017
MP4 - Mobile Video Seg  MP4 - Mobile Video Seg The Challenges of Post-Crisis Regulation and Brexit - The Challenges of Post-Crisis Regulation and Brexit, Monday, January 23, 2017
On-Demand Web Programs  On-Demand Web Programs Sixteenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Friday, January 27, 2017, London
Live Seminar  Live Seminar Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018, London
Live Webcast  Live Webcast Seventeenth Annual Institute on Securities Regulation in Europe: Practical Implications of U.S. Law on EU Practice, Thursday, February 01, 2018, London
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