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Due to inclement weather conditions, the Raleigh office will be closed today, Jan. 21, 2022.

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February 15, 2022

FinTech and Special Purpose Acquisition Companies (SPACs)

Continuing the FinTech University series, join chair of Nelson Mullins FinTech and Regulation Practice and moderator, Richard Levin, and attorneys Jon Talcott, Andy Tucker, and Peter Strand for this one-hour session, "FinTech and SPACs." Continuing Legal Education (CLE) credit will be sought for all attorneys requesting. Certificates of attendance are available upon request for CPE purposes. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit.

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Anastasia D. Stull

Anastasia D. Stull

Of Counsel

101 Constitution Avenue, NW
Suite 900
Washington, D.C., 20001
215 South Monroe Street
Suite 400
Tallahassee, FL 32301
anastasia.stull@assureg.com
+ Other Locations

Anastasia (“Tasia”) is a senior financial services executive and attorney who brings over 20 years of experience to the Financial Services Regulatory Team. Tasia counsels banks, non-bank lenders, FinTechs, and financial services companies in matters involving consumer, commercial, retail, and institutional financial services. Her hands-on perspective and knowledge of industry trends enables her to provide...

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Anastasia (“Tasia”) is a senior financial services executive and attorney who brings over 20 years of experience to the Financial Services Regulatory Team. Tasia counsels banks, non-bank lenders, FinTechs, and financial services companies in matters involving consumer, commercial, retail, and institutional financial services. Her hands-on perspective and knowledge of industry trends enables her to provide strategic and practical advice to financial services companies on the challenges they face today. Tasia directs strategy, corporate development activities, talent recruitment, marketing and business development, oversee client engagements and client relationship management.

Tasia has been a strategic advisor to numerous top 20 and regional banks in compliance, examination, and enforcement-related matters. Previously, she led the regulatory compliance consulting practice of a national firm serving banks, non-bank lenders and servicers. Prior to joining Assureg, she also served as senior regulatory counsel for the Consumer Bankers Association where she led the fair lending, automotive finance, and audit committees for large U.S. retail banks. Tasia has significant regulatory relations experience from her tenure in private practice and as a consultant, and routinely engages with the Consumer Financial Protection Bureau (CFPB), Office of the Comptroller of the Currency (OCC), Federal Deposit Insurance Corporation (FDIC), Federal Reserve Board (FRB), state financial regulators, and many state attorneys general in enforcement and supervisory matters.  Tasia served as in-house counsel for Merrill Lynch International Bank, Global Private Client EMEA in London and began her career as an intern at the U.S. Securities & Exchange Commission (SEC), Division of Enforcement. Throughout her career, she was selected to lead many large, significant engagements; was chosen for client-facing leadership roles; and continues to provide thought leadership on critical regulatory and risk issues impacting the industry.

Tasia is a Past President of Women in Housing & Finance, Inc., a nonpartisan financial services nonprofit in Washington, D.C that actively promotes policy development in the fields of housing and financial services and also served as its general counsel and board member for more than eight years.

Anastasia D. Stull

strategic and practical advice to financial services companies on the challenges they face today. Tasia directs strategy, corporate development activities, talent recruitment, marketing and business development, oversee client engagements and client relationship management.

Tasia has been a strategic advisor to numerous top 20 and regional banks in compliance, examination, and enforcement-related matters. Previously, she led the regulatory compliance consulting practice of a national firm serving banks, non-bank lenders and servicers. Prior to joining Assureg, she also served as senior regulatory counsel for the Consumer Bankers Association where she led the fair lending, automotive finance, and audit committees for large U.S. retail banks. Tasia has significant regulatory relations experience from her tenure in private practice and as a consultant, and routinely engages with the Consumer Financial Protection Bureau (CFPB), Office of the Comptroller of the Currency (OCC), Federal Deposit Insurance Corporation (FDIC), Federal Reserve Board (FRB), state financial regulators, and many state attorneys general in enforcement and supervisory matters.  Tasia served as in-house counsel for Merrill Lynch International Bank, Global Private Client EMEA in London and began her career as an intern at the U.S. Securities & Exchange Commission (SEC), Division of Enforcement. Throughout her career, she was selected to lead many large, significant engagements; was chosen for client-facing leadership roles; and continues to provide thought leadership on critical regulatory and risk issues impacting the industry.

Tasia is a Past President of Women in Housing & Finance, Inc., a nonpartisan financial services nonprofit in Washington, D.C that actively promotes policy development in the fields of housing and financial services and also served as its general counsel and board member for more than eight years.

Anastasia (“Tasia”) is a senior financial services executive and attorney who brings over 20 years of experience to the Financial Services Regulatory Team. Tasia counsels banks, non-bank lenders, FinTechs, and financial services companies in matters involving consumer, commercial, retail, and institutional financial services. Her hands-on perspective and knowledge of industry trends enables her to provide... strategic and practical advice to financial services companies on the challenges they face today. Tasia directs strategy, corporate development activities, talent recruitment, marketing and business development, oversee client engagements and client relationship management.

Tasia has been a strategic advisor to numerous top 20 and regional banks in compliance, examination, and enforcement-related matters. Previously, she led the regulatory compliance consulting practice of a national firm serving banks, non-bank lenders and servicers. Prior to joining Assureg, she also served as senior regulatory counsel for the Consumer Bankers Association where she led the fair lending, automotive finance, and audit committees for large U.S. retail banks. Tasia has significant regulatory relations experience from her tenure in private practice and as a consultant, and routinely engages with the Consumer Financial Protection Bureau (CFPB), Office of the Comptroller of the Currency (OCC), Federal Deposit Insurance Corporation (FDIC), Federal Reserve Board (FRB), state financial regulators, and many state attorneys general in enforcement and supervisory matters.  Tasia served as in-house counsel for Merrill Lynch International Bank, Global Private Client EMEA in London and began her career as an intern at the U.S. Securities & Exchange Commission (SEC), Division of Enforcement. Throughout her career, she was selected to lead many large, significant engagements; was chosen for client-facing leadership roles; and continues to provide thought leadership on critical regulatory and risk issues impacting the industry.

Tasia is a Past President of Women in Housing & Finance, Inc., a nonpartisan financial services nonprofit in Washington, D.C that actively promotes policy development in the fields of housing and financial services and also served as its general counsel and board member for more than eight years.

Experience

Following is a selected sampling of matters and is provided for informational purposes only. Past success does not indicate the likelihood of success in any future matter.

  • Senior Counsel, Banking & Corporate, Florida law firm (2018–2020)
  • Senior Regulatory Counsel, Consumer Bankers Association (2017–2018)
  • Managing Director, Enforcement, Risk, & Compliance, Independent Consulting, Washington, D.C. (2014–2017)
  • Director of Compliance and Fair Lending, Washington, D.C./New York, NY offices of multi-industry consulting firm (2011–2013)
  • Associate, Washington, D.C. office of international law firm (2005–2011)
  • Associate, Florida law firm (2004–2005)
  • Associate Counsel, Merrill Lynch International Bank, Global Private Client EMEA, London, UK (2003)
  • Associate, Florida law firm (2001–2002)

Internships

  • Certified Legal Intern, Division of Enforcement, U.S. Securities and Exchange Commission 

Certifications

  • Certified Regulatory Compliance Professional (CRCP), FINRA Institute at Wharton (2012)
  • FINRA Securities Industry Arbitrator (2011)

Education

  • Georgetown University Law Center, LLM, Securities and Financial Regulation
  • Nova Southeastern University Shepard Broad College of Law, JD, cum laude
  • University of South Alabama, BA, Political Science, cum laude

Admissions

  • Florida
  • District of Columbia
  • Supreme Court of the United States

Practice Areas

Industries

  • Board Member, Sinfonia Gulf Coast (2019–present)
  • Women in Housing & Finance, Inc.:
    • President (2014–2015), President-Elect (2013–2014); Vice President (2012–2013); General Counsel (2011–2012); Board Member (2011)
  • American Bankers Association, Banking Law Committee
  • ABA National Compliance School
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