Lawyers' Marks

Corporate Governance & Compliance

Lawyer’s Marks advises public and private companies, nonprofit organizations, boards of directors, and executives on best practices in corporate governance and regulatory compliance.

With our extensive experience with financial institutions, securities matters, business litigation and bankruptcy; we pride about our ability to give our clients depth of insight and perspective regarding corporate governance matters.

We provide strategies for managing risk, complying with legal requirements, communicating with shareholders, and preparing for known uncertainties evolve constantly.

We assist corporate clients in developing charters, bylaws, and compliance policies; in performing board self-assessments and in creating board structure. Our attorneys provide advice on fiduciary duties, liability issues, and executive compensation matters.

We respond to inquiries from government agencies and assist in conducting internal investigations related to compliance violations, fraud allegations, and whistleblower claims.

In an era where corporate governance has increased in significance, Lawyers’ Marks compliance systems are designed to meet the needs of our clients and the expectations of regulators.

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