Sean is an associate with experience representing individuals and business entities in complex civil litigation, including claims involving professional liability, product liability, catastrophic tort, contract and financial industry disputes. Prior to joining NBP, Sean gained experience at a large national law firm, representing clients throughout all stages of litigation in both federal and state courts. Sean is a zealous advocate of his clients who brings persistent energy to each matter.
Prior to entering private practice, Sean was a regulator at the Financial Industry Regulatory Authority, Inc. (FINRA) with its National Cause and Financial Crimes Detection Program. He conducted investigations of broker-dealers and ensured their registered representatives complied with federal securities laws and stock exchange and FINRA rules. Sean handled cases involving fraud, anti-money laundering, market manipulation, unauthorized trading, investment suitability, and financial operations, among other sales practice and regulatory issues.
Sean is admitted to practice law in the Commonwealth of Massachusetts and the United States District Court for the District of Massachusetts.
Sean obtained his Juris Doctor in 2018 from Suffolk University Law School, where he served on the Suffolk Transnational Law Review. Sean received his bachelor’s degree in economics from Merrimack College in 2015.
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