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Financial InstitutionsThe Firm currently serves as counsel to numerous financial institutions that range in size from de novo institutions that have not yet opened for business to institutions with more than a $100 billion in total assets. Our attorneys assist these clients in a variety of practice areas, including: Mergers and Acquisitions Nelson Mullins serves clients in the development of acquisition and divestiture strategies and has extensive experience in the formation, acquisition, and divestiture of bank holding companies, state and national banks, and branches of banks and savings and loan associations. The Firm has participated in both friendly and hostile acquisitions, including proxy contests and the representation of special committees of boards of directors considering acquisition proposals. Nelson Mullins also is experienced in structuring and implementing anti-takeover mechanisms for both public companies and companies considering going public. Securities The Firm handles numerous SEC registration statements for financial institutions, including registrations related to mergers and acquisitions, holding-company formations, and offerings of both debt and equity securities. We also serve as underwriters’ counsel in offerings by financial institutions, and regularly assist our clients in raising capital through private offerings. In addition, the Firm frequently assists publicly-held companies and their directors, officers, and principal shareholders with their SEC (or FDIC) periodic reporting requirements, compliance with the Section 16 insider trading rules under the Securities Exchange Act of 1934, and resales of restricted stock under Rules 144 and 145 of the Securities Act of 1933. Regulatory and Compliance Substantial challenges face lenders in connection with federal and state regulations and compliance requirements involving general lending issues and in particular, consumer and residential mortgage lending. In recent years, there has been a significant increase in litigation involving lending compliance/regulatory issues and also an increase in federal and state regulatory audit and review procedures. Nelson Mullins serves as regulatory and compliance counsel to many state, regional and national lenders and also serves as general counsel to a state bankers association. Nelson Mullins advises and represents clients in the structuring of transactions to comply with federal and state financial institution laws and regulations. Our attorneys have advised all types of financial institutions to facilitate their business transactions, including in forming, merging and acquiring banks, savings associations and holding companies, structuring joint ventures, investments in banking and non-banking companies and strategic partnerships or alliances between banks and non-banks, interstate expansion and enforcement matters. Commercial Lending Nelson Mullins has significant experience in representing lending clients, ranging from major money center financial institutions to local community banks, in a wide variety of corporate and commercial financing transactions. The Firm has in-depth experience handling asset-based lending, tax exempt financings, cash flow and unsecured financings, structured financings, real estate secured transactions, syndicated and “club” loans, leasing, and construction financing. Our attorneys work with lending clients not only in the drafting and negotiation of the transaction documents, but also during the initial structuring of their transactions to achieve maximum benefit and flexibility. Real Estate Finance
The Real Estate Finance practice group at Nelson Mullins represents major financial institutions in structuring and closing commercial mortgage loans intended for securitization. Our attorneys are experienced with structuring loans to meet rating agency requirements and to comply with the representations and warranties made in connection with the securitization of commercial real estate loans. We have an efficient closing and post closing process to meet our clients’ needs, and the demands of securitization. Our lawyers have deep and varied real estate and finance backgrounds, including service as in house counsel to a major New York based CMBS lending institution.
Consumer Litigation The Firm represents creditors and lenders on general litigation matters and provides in-depth experience in connection with consumer class action litigation. Over the past several years, Firm attorneys have represented creditors in more than 20 consumer class action litigation matters relating to attorney preference claims, yield spread premium issues, UCC claims, and other federal and state matters. These cases are handled by a mixture of our state/federal court class action litigators and our consumer compliance and regulatory attorneys. Related Topics: |
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