John Snyder is an experienced litigator and regulatory attorney with a focus on commercial and financial litigation, defense of broker-dealer customer claims in arbitration and court, and related regulatory matters. He has represented national and regional broker-dealer and investment advisor firms and other financial institutions and associated individuals in a wide variety of matters arising from retail and institutional financial services operations. He has also successfully conducted product liability and employment litigation, other financial services litigation, franchise litigation, and a variety of general commercial litigation, as well as a construction arbitration.

Mr. Snyder is sensitive and responsive to the business and personal issues and interests at stake in litigation and regulatory matters. He has extensive experience with various modes of alternative dispute resolution (“ADR”). He acts as a mediator, arbitrator or settlement counsel in a wide variety of matters, and provides case assessment and discovery referee or master services.


  • Represented a broker-dealer firm and a registered representative in an arbitration brought by nine investors in a hedge fund that invested with Madoff; claimants sought over $10 million in damages
  • Represented broker-dealer firms and associated individuals in series of related sales practice arbitrations and pre-litigation customer complaints, along with associated regulatory inquiries
  • Represented clearing firms bringing indemnification claims in arbitrations against introducing brokers who had converted customer funds
  • Participated in judicial proceedings seeking to compel arbitration, and to vacate, modify and confirm arbitration awards
  • Conducted and supervised debt collection and foreclosure actions
  • Represented major automobile manufacturer in litigation with dealers
  • Amicus curiae brief, McInnes v. LPL Financial, Supreme Judicial Court
  • Represented broker-dealer and other financial firms and associated persons in connection with investigations and adjudicatory proceedings before state securities regulators and the Financial Industry Regulatory Authority (“FINRA”)
  • As hearing officer, conducted administrative reviews of and hearings on civil fines
  • Seconded to mortgage loan servicing affiliate of major broker-dealer. On-site, served as counsel to foreclosure task force formed to investigate, assess and remedy issues with foreclosure processes. Assisted with responses to extensive regulatory inquiries and examinations and with reorganization of the company’s processes for responding to and monitoring litigation.
  • Investigated, proposed remediation and supervisory improvements, and assisted with preparation of report to state securities regulator concerning variable annuity sales in a broker-dealer branch office
  • Coordinated team researching, assessing and responding to customer complaints to a major broker-dealer concerning auction rate securities
  • Led review as consultant of regional broker-dealer’s supervision of one of its branch offices


  • Bingham McCutchen LLP, Partner


  • Volunteer mediator, Massachusetts District Court Small Claims sessions


  • American Bar Association
  • Massachusetts Bar Association
  • Boston Bar Association
  • Connecticut Bar Association
  • Securities Industry and Financial Markets Association, Compliance and Legal Society
  • FINRA Dispute Resolution arbitrator
  • National Futures Association arbitrator


  • Co-author, A Practical Guide to Defending Investigations and Administrative Proceedings Before the Massachusetts Securities Division Enforcement Section (MCLE Press 2014)
  • Chapter co-author, “Securities Litigation,” Massachusetts Expert Witnesses (2d ed. MCLE Press 2010; also 1st)
  • “Compelling Arbitration in Massachusetts–Recent Developments,” Boston Bar Journal, Winter 2011-2012
  • Co-author, “Massachusetts False Claims Act Amendments Expand Liability Exposure,” 4 Financial Fraud Law Report 922 (No. 10, Nov./Dec. 2012)
  • “Supreme Court Stays Active in the Arbitration Arena,” The Banking Law Journal (March 2013)
  • Co-author,“SEC’s Investor Advisory Committee Recommends Framework for Uniform Fiduciary Duty Governing Broker-Dealers and Investment Advisers,” 15 Derivative Financial Products Report No. 5 (Thomson Reuters Jan. 2014)


  • Co-chair, “The Massachusetts Securities Division: Effective Investigation and Litigation Advocacy,” Boston Bar Association CLE, 2014
  • Panelist,“What Practitioners Need to Know About Recent Changes to the FINRA Arbitration Rules: All Public Panels, Cost-Shifting, E-Discovery, and Affirmations,” Boston Bar Association Securities Enforcement and Litigation Committee, 2013
  • Panelist, “The CFPB in the Obama Administration’s Second Term: The Potential Impact on Securities and Financial Industry Class Actions,” Class Actions and Alternatives for Resolving Aggregate Claims Conference, 2013
  • Panelist, “The Enforcement of Class Action Waivers in Arbitration Agreements in the Wake of AT&T Mobility v. Concepcion,” New England Legal Foundation, 2012



  • Harvard Law School, J.D., 1980, cum laude
  • Bucknell University, B.A., 1977, summa cum laude, with honors


U.S. District Court, District of Connecticut, Hon. Robert C. Zampano, 1980-81




U.S. Supreme Court

U.S. Court of Appeals for the 1st Circuit

U.S. Court of Appeals for the 2nd Circuit

U.S. Court of Appeals for the 6th Circuit

U.S. Court of Appeals for the D.C. Circuit

U.S. District Court for the District of Connecticut

U.S. District Court for the District of D.C.

U.S. District Court for the District of Massachusetts