Protecting Your Financial Future.
Securing Your Investments.
We advocate for victims of financial scams and provide strategic counsel to financial institutions. Trusted legal advisors across the United States.
Leading Financial Services Attorneys.
Licensed in New York with multiple offices across the United States, we specialize in the legal elements of money management, lending, borrowing, and investing. Our team is recognized as leading legal advisors to public and private financial institutions of all sizes.
We advocate for clients who have been victims of unjust financial practices, scams, and scandals, while also serving as trusted advisers to banks and credit unions on complex regulatory compliance and strategic mergers.
About Our FirmFinancial Law Expertise
Comprehensive legal solutions for investors, institutions, and borrowers.
Securities Litigation
Representing investors in claims involving stock fraud, broker misconduct, and investment scams.
Learn MoreBanking Compliance
Advising banks and credit unions on complex regulatory environments and compliance strategies.
Learn MoreLending & Recovery
Expert counsel on complex loan recoveries, lender liability, and borrowing agreements.
Learn MoreMergers & Acquisitions
Strategic legal guidance for financial institutions undergoing mergers or restructuring.
Learn MoreClass Action
Defending and prosecuting consumer class action litigation related to financial services.
Learn MoreFraud Protection
Advocating for victims of unjust financial practices, ponzi schemes, and investment scandals.
Learn MoreOur Strategic Approach
A proven methodology for navigating complex financial landscapes.
Consultation
We analyze your financial situation or institutional needs to identify legal risks and opportunities.
Analysis
Our team conducts a deep dive into financial records, regulations, and securities laws relevant to your case.
Strategy
We develop a practical, creative legal strategy tailored to the heavily regulated financial environment.
Resolution
Whether through regulatory compliance or litigation, we secure the best outcome for your financial future.
Why Choose Josh Hawley Firm?
Trusted advisers for investors and financial institutions nationwide.
National Presence
Licensed in New York with multiple offices across the US, serving the western United States and beyond.
Regulatory Experts
Deep expertise in navigating the heavily regulated environment of banking and finance.
Dual Perspective
We represent both victims of scams and financial institutions, giving us unique insights into every case.
Financial Victories
A glimpse of what we've achieved for our clients.
Class action settlement for investors misled by a tech startup.
Regulatory approval secured for a major credit union merger.
Assets recovered for victims of a complex investment scam.
Successful defense of a bank against a frivolous liability claim.
Our Financial Attorneys
Specialists in money management, lending, and compliance.
Josh Hawley
Senior AttorneySpecializes in protecting investors from fraud and navigating complex securities litigation.
David Ross
Banking compliance AttorneyAdvises banks and credit unions on regulatory matters and strategic mergers.
Sarah Parker
Financial Fraud AttorneyAggressively advocates for victims of financial scams and unjust practices.
Client Success Stories
Read what our clients have to say about their experience with Josh Hawley Firm.
"I lost my retirement savings to a scam. Josh Hawley Firm's team didn't just give me legal advice; they fought finding the assets and getting my money back."
"Their guidance during our credit union merger was invaluable. Practical creativity and deep regulatory knowledge made the difference."
"Navigating lender liability claims is complex. Josh Hawley Firm protected our bank's reputation and bottom line with skill."
Financial Literacy & Community
We are committed to empowering our community. Josh Hawley Firm offers pro-bono financial literacy workshops and supports organizations fighting against financial exploitation of the elderly.
Our Community ImpactFrequently Asked Questions
Answers to common financial and securities law questions.
Do you represent individuals or institutions?
We represent both. We advocate for individual victims of financial scams and fraud, while also providing regulatory and strategic counsel to financial institutions like banks and credit unions.
What is securities litigation?
Securities litigation involves legal disputes regarding the financial markets, such as investment fraud, broker misconduct, shareholder disputes, and violations of federal securities laws.
Can you help with recovering funds from a scam?
Yes. Our team has extensive experience in tracking and recovering assets for victims of investment schemes, ponzi schemes, and other financial frauds.
Where are your offices located?
We are licensed and registered in New York with our headquarters there, but we have multiple offices across the US and serve clients throughout the western United States.
Get In Touch
Whether you need recovery or compliance, we are here to help.
Headquarters
Rubin Residence Hall
New York, NY 10003, USA
Call Us
+1(936)228-3183
Email Us
info@joshhawleyfirm.online