Corporate and securities and financial institutions regulatory work. Over 40 years of experience advising individuals, companies and financial institutions on public and private securities offerings, mergers and acquisitions, investments, periodic reporting, governance and regulatory compliance. Clients are engaged in a wide range of industries, including banking & financial services, pharmaceutical, real estate, and hospitality.
Shareholder and member of firm’s Board of Directors and Executive Committee. Head of firm’s Corporate & Securities practice. Consistently recognized by The Best Lawyers in America, Florida Super Lawyers and South Florida Legal Guide.
The Miami Foundation, Board of Trustees, 2018-2020; United Way of Miami-Dade, Former Director; Feeding South Florida, Former Board Member
Frequently lectures on topics relating to banking, securities law, acquisitions, accounting topics and compliance issues, including AML-BSA compliance.
JD, University of Chicago, 1976; BA, University of Florida, 1973.