Skip to Main Content
Facebook Visit us on LinkedIn Visit us on Twitter Visit us on YouTube Visit us on Instagram
Kevin Tran

Kevin Tran

Of Counsel

One Nashville Place
150 Fourth Avenue North
Suite 1100
Nashville, TN 37219
330 Madison Avenue
27th Floor
New York, NY 10017
kevin.tran@nelsonmullins.com
+ Other Locations

Kevin assists clients in matters related to financial regulatory, FinTech, corporate and securities issues. He gained experience at the Federal Reserve Board in Washington, D.C., where he was a Financial Policy Analyst in the Capital and Regulatory Policy group in the Division of Supervision and Regulation. He also served the Board as the Policy Staff...

+ Read More

Kevin assists clients in matters related to financial regulatory, FinTech, corporate and securities issues. He gained experience at the Federal Reserve Board in Washington, D.C., where he was a Financial Policy Analyst in the Capital and Regulatory Policy group in the Division of Supervision and Regulation. He also served the Board as the Policy Staff Adviser/Chief of Staff to the Deputy Director for Policy. In these roles, Kevin focused on developing regulations and guidance affecting banks and bank holding companies of all sizes, assisting the director with the day–to–day operations of the policy groups, and helping financial institutions and industry trade groups with regulatory interpretations.

Kevin Tran

Adviser/Chief of Staff to the Deputy Director for Policy. In these roles, Kevin focused on developing regulations and guidance affecting banks and bank holding companies of all sizes, assisting the director with the day–to–day operations of the policy groups, and helping financial institutions and industry trade groups with regulatory interpretations.

Kevin assists clients in matters related to financial regulatory, FinTech, corporate and securities issues. He gained experience at the Federal Reserve Board in Washington, D.C., where he was a Financial Policy Analyst in the Capital and Regulatory Policy group in the Division of Supervision and Regulation. He also served the Board as the Policy Staff... Adviser/Chief of Staff to the Deputy Director for Policy. In these roles, Kevin focused on developing regulations and guidance affecting banks and bank holding companies of all sizes, assisting the director with the day–to–day operations of the policy groups, and helping financial institutions and industry trade groups with regulatory interpretations.

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.

Experience

  • Has provided guidance on financial regulatory compliance, including risk management, reporting, and BSA/AML/OFAC compliance obligations
  • Has represented community bank clients serving as Eligible Lenders in Main Street Lending Program
  • Has assisted clients with structuring programs to avoid state and federal money service business regulations and has represented clients seeking licenses as money transmitters at the state and federal level
  • Has provided guidance to clients seeking de novo federal and state bank charters

Education

  • Vanderbilt University Law School, JD (2009)
    • Executive Student Note Editor, Vanderbilt Journal of Transnational Law
  • Yale University, BA, Economics and History (2004)

Admissions

  • Tennessee
  • New York

Practice Areas

Industries

  • Tennessee Bankers Association
  • Member, American Bar Association
  • Member, Nashville and Tennessee Bar Associations
  • Member, New York Bar Association
What's New
Idea Exchange
Top