Paul Helms helps clients navigate their most serious securities and fraud-related challenges, acting as both a trusted counselor and steady advocate. A former senior attorney at the Securities and Exchange Commission (SEC), where he served as counsel to the Director of Enforcement, Paul draws on his government experience to defend clients in SEC enforcement matters, internal investigations, and private securities litigation.
As the co-lead of McDermott Will & Schulte’s SEC enforcement practice, Paul represents public companies, investment advisers, accounting firms, and corporate leaders nationwide. He knows that investigations and lawsuits are not just legal matters – they can be personally and professionally disruptive. Paul’s approach centers on clear communication, practical strategy, and securing the best possible outcome while minimizing the impact on clients’ lives and businesses.
With experience on both sides of the table, Paul has handled the full spectrum of SEC matters: accounting and disclosure issues, investment adviser and broker-dealer compliance, offering fraud, market manipulation, public finance, Foreign Corrupt Practices Act (FCPA), insider trading, and professional liability. He has led high-profile internal investigations into complex fraud and compliance problems and successfully defended clients in shareholder derivative suits and securities class actions, achieving dismissals and favorable settlements.
Paul also dedicates time to pro bono work. He serves as external general counsel of Episcopal Charities in Chicago and has led fraud-related investigations for nonprofit organizations. Earlier in his career, Paul clerked for Judge James H. Michael Jr. of the US District Court for the Western District of Virginia and served as editor in chief of the Vanderbilt Law Review. He is a Chartered Alternative Investment Analyst (CAIA) and a Certified Fraud Examiner (CFE).