Securities, Corporate And Government Affairs Partner
CurrentOne area of primary focus in my practice is the broad spectrum of issues in the securities arena, including securing effective resolutions in sensitive state, federal and SRO enforcement actions. I have extensive experience with multi-jurisdictional regulatory investigations, and assist clients in responding to routine compliance examinations and for-cause audits. I regularly assist clients with day-to-day compliance matters in the highly regulated broker-dealer and investment adviser industry. I am also active in the emerging companies community, working closely with entrepreneurs and founders of start-ups and growing companies. I assist these clients in establishing ownership structures; raising capital through angel investors,venture capital and private equity firms; handling business arrangements and joint ventures with outside parties; protecting intellectual property and trade secrets; and planning for management and succession. Additionally, I counsel clients on officer and director guidance, non-compete and non-disclosure agreements, mergers and acquisitions, and related corporate operations and strategies. I also use my experience as securities commissioner to counsel clients on registration and exemption options for small businesses, new debt and equity issues, and additional-round offerings. I assist businesses regarding disclosure requirements in connection with public and private securities offerings, and securing registration for the same. I am also well-versed in Missouri and federal securities laws related to private placements through Regulation D and Regulation A, including recent changes through the JOBS Act, as well as the developing opportunities in Crowdfunding at both the federal and state levels. I also counsel clients on strategies and structures for private and special funds and advisers to funds.