Louis Brilleman provides innovative solutions to legal issues encountered by his corporate clients. He has more than 20 years of experience representing both public and private companies. Throughout his career, he has negotiated and completed numerous complex corporate transactions, including mergers and acquisitions, stock and asset sales, public and private debt and equity financings, joint ventures and reverse mergers.
He also advises individual and institutional investors on transactions involving complex securities laws. He represents clients located in the United States and throughout the world.
In addition, he provides guidance to Boards of Directors and corporate managers who operate in a rapidly changing and increasingly complex environment of securities laws, litigation risks, regulatory oversight and investor scrutiny. This includes all aspects of corporate governance under Sarbanes-Oxley and related rules and regulations. It also includes counseling public companies on their ongoing reporting and disclosure obligations under the federal securities laws, such as the preparation of annual and quarterly reports as well as proxy statements.
He further advises his clients on a range of commercial agreements, including employment agreements, consulting and services agreements, confidentiality agreements, distribution agreements and licenses. He has also assists foreign based clients with the launch and administration of ADR programs.
He has dealt extensively with regulatory agencies and self regulatory organizations such as the Securities and Exchange Commission, Finra, various stock exchanges and state securities regulators.
He takes great pride in being responsive to his clients’ needs and working in a fast and efficient manner without the headaches of large firm politics and bureaucracies. Clients have expressed great satisfaction with his flexible fee structures which range from billing based on standard hourly rates to fixed fee and other alternative billing arrangements.
He also advises individual and institutional investors on transactions involving complex securities laws. He represents clients located in the United States and throughout the world.
In addition, he provides guidance to Boards of Directors and corporate managers who operate in a rapidly changing and increasingly complex environment of securities laws, litigation risks, regulatory oversight and investor scrutiny. This includes all aspects of corporate governance under Sarbanes-Oxley and related rules and regulations. It also includes counseling public companies on their ongoing reporting and disclosure obligations under the federal securities laws, such as the preparation of annual and quarterly reports as well as proxy statements.
He further advises his clients on a range of commercial agreements, including employment agreements, consulting and services agreements, confidentiality agreements, distribution agreements and licenses. He has also assists foreign based clients with the launch and administration of ADR programs.
He has dealt extensively with regulatory agencies and self regulatory organizations such as the Securities and Exchange Commission, Finra, various stock exchanges and state securities regulators.
He takes great pride in being responsive to his clients’ needs and working in a fast and efficient manner without the headaches of large firm politics and bureaucracies. Clients have expressed great satisfaction with his flexible fee structures which range from billing based on standard hourly rates to fixed fee and other alternative billing arrangements.
1140 Avenue of the Americas, 9th Floor • New York, New York 10036 • Phone: 212-584-7805 • Fax: 646-380-6635 • email: [email protected]