Publications
"Regulation FD: A Refresher and Update," Bank Accounting & Finance (April-May 2007)
"Another Look at Minutes," Northwestern University School of Law's Ray Garrett Jr. Corporate and Securities Law Institute (May 2006)
"The Audit Committee As Sleuth: Conducting an Internal Investigation," Bank Accounting & Finance (February-March 2006)
"Audit Committee Self Assessments: Why and How?" Financial Managers Society Special Report (January 2005)
"Supporting the Audit Committee After Sarbanes-Oxley: A Practical Guide," Bank Accounting & Finance, Vol. 17, No. 5 (August 2004)
Speeches and Presentations
Mr. Rossiter speaks regularly at continuing legal education and financial services industry programs.
"Proposed Regulation R," (panelist) American Bar Association Section of Business Law, Banking Law Committee, Spring Meeting (March 15, 2007)
"Best Practices: Stockholders, Boards, and Board Committees," (chair) Northwestern University School of Law's Ray Garrett Jr. Corporate and Securities Law Institute, Chicago (May 4, 2006)
"Compliance and Risk Management: Counsel's Obligation and Dilemma," (panelist) American Bar Association Section of Business Law, Spring Meeting (April 6, 2006)
"Investor Relations: Legal Context and Practical Tips," America's Community Bankers, 2005 Annual Convention (October 18, 2005)
"Managing the Audit Process: The General Counsel's Role," (chair) Northwestern University Corporate Counsel Institute (September 29, 2005)
Previous Experience
Mr. Rossiter previously was with Schiff Hardin from 1976 to 1992, concentrating his practice in corporate and securities work for public and privately held clients across a range of industries and serving on the firm's management committee for seven years. He returned to the firm in 2004.
From 1992 to 2004, he was Executive Vice President of Northern Trust Corporation, serving as General Counsel until 2000. As General Counsel, he led a legal department of more than 30 attorneys to support Northern Trust's leading private banking and trust, institutional, and investment management businesses worldwide. He:
- Advised senior management, the board of directors, and key committees of the board
- Helped shape all significant U.S. Securities and Exchange Commission (SEC) filings
- Participated in all acquisitions and divestitures
- Played a key role in managing Northern Trust's relationships with bank regulators
In 2000, Mr. Rossiter became President of Northern Trust's Corporate and Institutional Services business unit, which manages Northern Trust's relations with the institutional investors Northern serves around the globe and accounts for approximately one-half of the company's revenues and net income.
In 2003, Mr. Rossiter became the head of the Corporate Risk Management Group for Northern Trust, where he designed, organized and led this new function.
He has served on the boards or advisory boards of the Coordinated Advice and Referral Program for Legal Services, Cook County's legal aid hotline; the Chicago Volunteer Legal Services (CVLS) Foundation; the Lawyers Club of Chicago, including a term as President; INROADS, Inc., a minority internship organization and the Yale Law School Alumni Association (currently a Vice President). From 1989 - 1994, he served pro bono as the Chancellor of the Episcopal Diocese of Chicago and currently serves as chair of the Diocesan Endowment Fund!
Awards and Honors
Best Lawyers in America, Banking and Finance Law
Leading Lawyer — Banking and Financial Institutions Law; Corporate Finance Law; Mergers and Acquisitions Law; Publicly Held Corporations, Illinois Leading Lawyers Network
Martindale-Hubbell — A/V Rated
Who's Who Legal — Illinois, Corporate Governance