RON RUBIN is a Partner at Hunton & Williams in Washington, DC. Ron was one of the earliest employees at the Consumer Financial Protection Bureau, where he was an enforcement attorney. He played an important role in building the CFPB’s enforcement capabilities, and drafted critical internal procedures such as the Enforcement Action Process (EAP) and the Notice and Opportunity to Respond and Advise (NORA) procedures. Since leaving the CFPB in September of 2012, Ron has represented several clients in their CFPB investigations and examinations. Previously, Ron was a criminal prosecutor, an enforcement attorney at the SEC, senior special counsel at FINRA, and a managing director on Wall Street. He received his MBA from the University of Chicago’s Booth School of Business and his JD from the University of Pennsylvania Law School. Ron has extensive knowledge of the Dodd-Frank Act and other consumer financial laws overseen by the CFPB. His practice focuses on CFPB and SEC enforcement investigations and litigation, regulatory examinations, and white collar criminal defense.