About Jeremy L. Bartell

Jeremy L. Bartell
Legal Experience

Bingham McCutchen LLP, Counsel, Broker-Dealer Group, Boston, 2004-2010.

Goodwin Procter LLP, Litigation Associate, Boston, 2001-2004.

Massachusetts Appeals Court, Judicial Clerk, Justice Raya Dreben, Boston, 2000-2001.

Education

Boston University School of Law, J.D., magna cum laude, 2000.

University of Colorado, B.S., summa cum laude, Business Administration, 1996.

Certified Regulatory and Compliance Professional (CRCP®), FINRA Institute, Georgetown University, 2024.

Admissions 

Washington, D.C.

Massachusetts

United States Court of Appeals, District of Columbia Circuit

U.S. District Court, District of Columbia

U.S. District Court, District of Massachusetts

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Jeremy L. Bartell, J.D., CRCP®
Jeremy L. Bartell is a financial services attorney with 23 years of experience, including 10 years with two major national law firms. He has extensive experience representing many of the nation's largest broker-dealers and investment advisers in FINRA arbitration, FINRA and SEC regulatory investigations, disciplinary actions, employment disputes and registration and disclosure matters. Jeremy currently focuses on representing individual financial advisors, including registered representives, investment adviser representatives, managers and other financial professionals in FINRA inquiries, investigations, exams and disciplinary hearings; FINRA expungements; FINRA customer and industry arbitrations; employment disputes; Form U4 disclosures matters; FINRA eligibility hearings, and investigations and hearings before the Certified Financial Planner Board of Standards. 
Background and Education 
Jeremy is a veteran of the U.S. Army with service in Germany and in Saudi Arabia, Iraq and Kuwait during the Gulf War. He graduated with a B.S., summa cum laude, in Business Administration from the University of Colorado, and a J.D., magna cum laude, from Boston University School of Law, where he was a note editor on the Law Review. After law school, he clerked for Justice Raya Dreben of the Massachusetts Appeals Court. From 2001 to 2004, Jeremy was a litigation associate at Goodwin Procter LLP, defending financial institutions and corporations in a variety of complex commercial litigation. From 2004 to 2010, Jeremy was an associate and later Counsel in the Broker-Dealer Group at Bingham McCutchen LLP, where he focused on defending national broker-dealers, registered investment advisers, and individual financial professionals in FINRA arbitration, and in SEC and FINRA Investigations and disciplinary actions. Jeremy also holds the Certified Regulatory and Compliance Professional (CRCP®) designation from the FINRA Institute at Georgetown University. He is admitted in the District of Columbia and Massachusetts. 

FINRA Inquiries, Investigations and Disciplinary Actions
Jeremy regularly represents financial advisors in FINRA inquiries and investigations. He has also defended national broker-dealers in a number of state and federal regulatory investigations, regulatory sweeps, and administrative actions, including those by the SEC, FINRA, state securities regulators and state attorneys general. He has, for example, handled matters concerning: 

  • Unsuitable recommendations

  • Unauthorized trading;

  • Failure to disclose or update Form U4;

  • Selling away;

  • Alteration of client account documents; Forgery;

  • Expense account padding; falsification;

  • Expense reimbursement misconduct;

  • Impersonation of clients, others;

  • Loans, borrowing from customers;

  • Reg BI (best interest violations);

  • Unauthorized outside business activities;

  • Undisclosed criminal charges; 

  • Continuing Education (CE) violations;

  • Complex retail structured products issued by broker-dealers

  • The sale of collateralized debt obligations;

  • The sale and marketing of auction rate securities;

  • Auction management and proprietary trading in auction rate securities;

  • The 50-state settlement of auction rate securities investigations through NASAA;

  • Broker-dealer sales contests;

  • Unfair customer account fee structures;

  • Brokerage cold-calling practices and state and federal do-not-call violations;

  • Investor privacy policies and procedures

  • Mutual fund, or annuity, switching violations;

  • Unit Investment Trusts - early rollovers;

  • Unauthorized account opening;

  • Exam cheating, irregularities; 

  • breach of fiduciary duties

  • REG SP violations

FINRA Customer Arbitration

Jeremy has substantial experience defending investor claims in FINRA arbitration. His experience ranges from investor suits following the dot-com crash through the collapse of the mortgage market and its continuing aftermath. He has, for example, defended claims concerning the collapse of the market for auction rate securities, the packaging and sale of collateralized debt obligations, the sale of mortgage-backed securities to government entities, and the sale of restricted investments to potentially unqualified purchasers. He also has experience defending against a wide variety of claims found in customer arbitration, including:

  • Unauthorized trading;

  • Securities fraud;

  • Churning;

  • Unsuitable recommendations;       

  • Breach of fiduciary duty;

  • Violation of FINRA rules;   

  • Negligence;

  • Breach of contract;

  • Unauthorized asset transfer;

  • Conversion of client funds;

  • Improper conflicts of interest;

  • Violation of firm policies and procedures;

  • Failure to supervise;

  • Failure to advise hedging or diversification;

  • Predatory lending

  • Unfair and deceptive practices 

Business Litigation

Jeremy also has broad experience in complex commercial litigation, having represented corporations, trusts, hedge funds, broker-dealers, directors, officers and financial professionals in a wide array of matters. He has, for example, litigated preference actions against international currency traders; intervened on behalf of a major hedge fund to object to the settlement of a class action; defended CERCLA contribution claims concerning a Superfund site; pursued claims for contamination coverage against a major insurer; appealed an improper retirement account rollover to the IRS; defended a national bank against a fraudulent conveyance claim by a state superintendent; represented corporate directors suing a bank for wrongful deprivation of their stock options; defended a trust company against claims of breach of fiduciary duty over a loan secured by restricted Internet stock; and pursued pharmaceutical patent litigation on behalf of a generic drug manufacturer, among others.


As a financial professional, you manage risks, solve problems, and identify opportunities to benefit your clients and your business. When legal issues arise, you deserve to understand the law, your options, and the costs and risks involved. Sound legal analysis is key. But business skills are needed to weigh the costs and benefits of legal strategies. A good strategy is tailored and proportional to your legal matter. Your matter should not be blown into the trial of the century, unless it needs to be. In short, good results require legal sense, business sense and common sense. 

Legal Sense | Business Sense | Common Sense