Seasoned Securities Regulation And Enforcement Representation
In addition to securities litigation and compliance, issues often arise that impact individuals and businesses that involve securities regulation and enforcement of laws that govern the area of securities. These matters are initiated by a variety of regulatory agencies, including the the U.S. Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority (FINRA), stock exchanges, state financial agencies, and foreign regulatory bodies.
Investigations alone can harm one’s reputation, and the imposition of penalties can do long-lasting harm to your bottom line. By working with an experienced attorney, it is often possible to improve your prospects and avoid the worst potential consequences of a regulatory investigation.
Knowledge And Experience On Your Side
Debra A. Jenks focuses on handling matters related to securities regulation and enforcement. With several decades of experience concentrating in this complex area of law, I am your ally in and out of regulatory investigations, regulatory proceedings, and administrative actions.
I confidently represent a wide range of clients, including registered persons, corporate officers, member firms, and other before securities regulators. I handle issues at every step in a FINRA or SEC enforcement proceeding. From initial inquiry through enforcement actions, I use my extensive knowledge when handling matters such as:
- In-house inquiries and investigations
- Responding to administrative subpoenas for documents
- “On-the-Record” testimony
- The “Wells” process
- Administrative hearings
Enlist My Help
For additional information regarding securities regulations and enforcement, contact me online today or call my office at 561-303-2919. Though I am based in West Palm Beach, Florida, I handle cases throughout the country for clients who are in need of securities assistance.