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ABOUT

 

 

Sivon, Natter, & Weschler

The law firm of Sivon, Natter, & Weschler, P.C. specializes in representing financial institutions and other parties before federal and state financial regulatory agencies and the U.S. Congress. 

The firm’s clients include domestic and foreign banks, financial holding companies, savings associations, insurance companies, fintechs, investors, consultants, and trade associations.

The partners in the firm also serve as counsels in the international law firm of Squire Patton Boggs.

To contact us, click here.

Our Team

 

James C. Sivon, Partner
jsivon@barnett-sivon.com 
202-262-4271

James C. Sivon is a partner in the Washington, D.C. law firm of Barnett Sivon & Natter, P.C. He specializes in representing financial institutions before the U.S. Congress and federal regulatory agencies.

He is a former senior vice president and general counsel for the Association of Bank Holding Companies (1983-1985), and he served as the staff director for the Republican members of the U.S. House Committee on Banking, Finance and Urban Affairs from 1980 to 1983. Mr. Sivon is a frequent speaker on the regulation of financial services firms, and is the author of various publications including The New CRA, published by the American Bankers Association, Insurance Activities: A Legal Guide for Banks, published by A.S. Pratt & Sons, and FIRREA: Implementation and Compliance, published by Warren Gorham & Lamont (co-author). Jim Sivon is a member of the Executive Council of the Federal Bar Association's Banking Law Committee and the Exchequer Club.

He received his undergraduate degree from Denison University and his law degree from Georgetown University Law Center, and is admitted to practice in the District of Columbia.

Jim also serves as counsel in the international law firm of Squire Patton Boggs.

Katie Wechsler, Partner
kwechsler@barnett-sivon.com
202-360-8895

Katie Wechsler is counsel in the Washington, D.C. law firm of Barnett Sivon & Natter, P.C. She specializes in representing financial institutions before the U.S. Congress and federal regulatory agencies.

Ms. Wechsler previously served as counsel and associate director of government affairs for The Financial Services Roundtable's Housing Policy Council. In that role, Ms. Wechsler researched, analyzed, and drafted testimonies, regulatory comment letters, and policy papers on housing and mortgage issues, regulations, and legislation.

​Ms. Wechsler received her undergraduate degree from Vanderbilt University and her law degree from The George Washington University Law School. She is admitted to practice in the District of Columbia.

​Katie also serves as counsel in the international law firm of Squire Patton Boggs.

Raymond Natter, Partner
rnatter@barnett-sivon.com
202-445-4408

Raymond Natter is a partner in the Washington, D.C. law firm of Barnett Sivon & Natter, P.C. He specializes in representing financial institutions before the U.S. Congress and federal regulatory agencies.

Mr. Natter served as deputy chief counsel of the Office of the Comptroller of the Currency, where his responsibilities included the development and review of all of that agency's regulatory undertakings from 1995 through 2004. At the OCC, Mr. Natter also was responsible for the legal department's securities and corporate practices division, bank structure division and legislative affairs office. The legal department of the OCC's New York and Chicago offices reported directly to Mr. Natter. Prior to the OCC, Mr. Natter served as a senior staffer for eight years on the U.S. Senate Committee on Banking, Housing and Urban Affairs, and was the Committee's Republican chief counsel from 1989 through 1995. Prior to the Senate, Mr. Natter was a senior counsel at the legal department of the Federal Reserve Board in Washington, D.C.

Mr. Natter has written extensively on financial services legal and policy issues, and is often asked to speak at financial institution conferences and seminars and cited in the industry's leading publications for his expertise in the financial services field.

Mr. Natter received his undergraduate degree from Rensselear Polytechnic Institute and his law degree from Georgetown University Law Center. In 1979, he was awarded an LL. M. degree with highest honors from the George Washington University National Law Center. He is admitted to practice in the District of Columbia.

Ray also serves as counsel in the international law firm of Squire Patton Boggs.

Jason Kratovil, Executive Director, Consumer First Coalition
jason@consumerfirstcoalition.org
703-919-5324

Jason Kratovil is a principal in the Washington, D.C. law firm of Sivon, Natter & Wechsler, P.C., and is Executive Director of the Consumer First Coalition . A recognized expert in payments, data security, privacy and financial technology policy, he brings nearly two decades of experience to the Firm, representing clients before the U.S. Congress and regulatory agencies.

Previously, Mr. Kratovil established and led the payments, technology and cybersecurity practice at the Financial Services Roundtable. He has also worked on payments, innovation and retail banking policy at the American Bankers Association and the Independent Community Bankers of America. He served for six years as Legislative Director for U.S. Rep. Steven C. LaTourette (OH-14), where he led efforts to enact several key consumer protection provisions during reauthorization of the Fair Credit Reporting Act, and drafted the first piece of bipartisan data security and consumer breach notification legislation to advance through the House Financial Services Committee. Kratovil began his professional career in marketing communications at Dell, where he helped manage the firm's relationships with key enterprise software partners.

Jason received a Master of Public Policy degree from George Mason University and two B.A. degrees from Miami University (OH), and holds a Certified Information Privacy Professional (CIPP-US) certification. He also serves on the Fairfax County (VA) Consumer Protection Commission.

Our clients are financial services firms, financial trade associations, and individuals who work in the financial services sector. Clients include money center and regional banks, insurance companies, national trade associations for the financial services industry, money service providers, and other non-depository financial services firms. The firm also manages various industry coalitions that focus on compliance and policy issues.

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