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About Me
Gina Alsdorf focuses her practice on the Employee Retirement Income Security Act (ERISA) and its fiduciary provisions, the Internal Revenue Code, the regulation of individual retirement accounts, and other employee benefit plans. She is well versed in EPCRS and other correction processes.
She advises on complex issues involving the creation, and operation of plans, products, and platforms for plan sponsors providers, trust banks, registered investment advisers, broker-dealers, third-party administrators, and insurance companies. Gina has more than 15 years of experience in the financial services industry, working with regulators, plan fiduciaries, investment professionals, and business owners on complex issues involving ERISA, employee benefit plans, banking, securities, annuities, privacy, and related tax matters.
Gina has past experience serving as in-house counsel for a various financial service companies, third-party administrators and is a former investigator for the Employee Benefits Security Administration. She draws on her first-hand experience, having worked on all sides of transactions and advising on the many facets of the retirement plan industry.
