Overview

Our Financial Institutions practice group counsels clients on a wide variety of corporate matters, including:

  • Board of directors procedures and corporate governance matters
  • Consideration and preparation of tender offers or other redemptions of financial institution stock from existing shareholders
  • Change in Bank Control Act compliance
  • Various tax matters, including the making of elections to be taxed under Subchapter S of the Internal Revenue Code
  • Management and succession planning issues
  • Preparation of shareholder buy-sell agreements
 
Jump to Page

Necessary Cookies

Necessary cookies enable core functionality such as security, network management, and accessibility. You may disable these by changing your browser settings, but this may affect how the website functions.

Analytical Cookies

Analytical cookies help us improve our website by collecting and reporting information on its usage. We access and process information from these cookies at an aggregate level.