About Stephen Council

Steve represents investors in securities fraud and financial misconduct cases. He regularly advises financial services organizations on regulatory compliance, registration, and data security. Steve handles complex regulatory matters, including SEC, DOJ, FDIC, and FINRA investigations, enforcement actions, and related litigation.

He began his legal career at the SEC as a staff attorney investigating securities fraud, later serving as Branch Chief before transitioning to private practice. Steve also conducts internal investigations for financial firms and public companies, leveraging his government experience and IT background.