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Jonathan R. Cyprys focuses his practice on broker-dealer compliance issues, securities enforcement and regulatory matters, complex commercial litigation, securities litigation and arbitration, and internal corporate investigations. He represents broker-dealers, individual brokers, investment banks, and their employees in both regulatory proceedings and customer actions initiated by the SEC, FINRA, DOJ, MSRB, CBOE and CFTC concerning market timing, securities mark ups, option crossing, record keeping, and equity research, among other sales practice-related issues.




  • Secondee, Jefferies LLC, Litigation, Regulatory and Employment Group, July 2012-January 2014
  • Intern, Westchester County District Attorney's Office, Superior Court Trial Division, Summer 2009
  • Summer Associate, Morgan Stanley & Co., Legal and Compliance Division, Summer 2008


  • J.D., Nova Southeastern University Shepard Broad Law Center, 2010
    • Order of Barristers
    • Recipient, National Institute of Trial Advocacy (NITA) Excellence in Advocacy Award, 2010
    • Regional Semi-Finalist, AAJ National Student Trial Advocacy Competition, 2010
    • Vice President of Operations, Nova Trial Association, 2010
  • B.S., State University of New York at Albany, 2004
Posiadane uprawnienia
  • New York
Znajomość języków
  • hiszpański, konwersacyjny