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EXPERT WITNESS  ·  CONSULTING  ·  ADVISORY  ·  NEW YORK

Industry
Experience
That Matters

Expert witness, consulting, and advisory services for the world's most complex financial matters — delivered by former Wall Street executives, senior regulators, and institutional practitioners with unmatched depth across US and global financial markets, institutions, and disputes.

SEDA Experts

ABOUT THE FIRM

A global financial advisory firm.

SEDA is a global financial services firm providing expert witness, consulting, and advisory services to law firms, financial institutions, and regulators navigating the world's most complex financial matters

Financial Industry Expert Witness & Consulting Services | SEDA Experts | United States

WHAT WE DO

Expert Witness Services — Our testifying experts have provided reports and testimony in hundreds of high-stakes litigations, disputes, arbitrations, and regulatory proceedings globally. 

 

Consulting Services — Beyond the witness stand, our practitioners advise institutions on risk, compliance, strategy, transactions, and regulatory matters.

 

Advisory Services — Senior advisory relationships for financial institutions, law firms, and regulators navigating complex financial, regulatory, and market challenges.  

JURISDICTION

We operate globally and across the United States with deep familiarity in Federal and State courts, AAA and JAMS arbitrations, class action litigation, FINRA arbitrations, and SEC and CFTC enforcement and regulatory proceedings.

ABOUT
Rich Marin-007_edited_edited_edited.png

Managing Director

Asset Management · Investments

Richard Marin as a former finance senior executive with over 40 years of investment banking industry experience, and as a former clinical professor at Cornell University is a world-class testifying expert in asset management, alternative investments, private equity investments, securities lending, retirement and pensions, and real estate/project financing.

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FORMER

Chairman and CEO at Bear Stearns Asset Management, and

Chairman and CEO at Deutsche Asset Management

Dawn Stump.png

Managing Director

Investigation · Regulatory Enforcement & Compliance

Dawn Stump is a highly seasoned financial executive and regulatory thought leader who recently served as a Commissioner of the CFTC. Her most recent areas of attention are business continuity, supply chain disruptions, cyber intrusion impact, integrity of emerging assets (e.g., crypto), data protection, and climate-related market risks.

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​FORMER

Commissioner at CFTC

Executive Director Americas’ Advisory Board at Futures Industry Association

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Senior Advisor

Risk Management · Regulatory Compliance

Craig Broderick is the former Chief Risk Officer (CRO) of Goldman Sachs where he served on the Management Committee and was Chair or Co-Chair of the Firmwide Risk Committee. In a 32 year career Craig oversaw control of the firm’s credit, market, liquidity, operational, model, counterparty and insurance risks.

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FORMER

Chief Risk Officer at Goldman Sachs, and Chair or Co-Chair of the Firmwide Risk Committee

FEATURED FINANCIAL EXPERTS

Senior practitioners.
Institutional authority.

Our experts are former senior executives from premier global financial institutions, leading consulting firms, and key regulatory bodies — not academics who consult, but practitioners who led desks, ran businesses, and shaped markets.

PRACTICES

OUR PRACTICES

18 financial services
areas of expertise.

INSIGHTS

Latest from
SEDA Experts.
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