The SIFMA Compliance & Legal Society Annual Seminar is the premier event for compliance and legal professionals working in the financial services industry.
To help you stay ahead of the fray, here are eight important compliance best practices for M&A transactions to keep your business in compliance.
In 2016, the impressive growth of REITs compelled S&P Dow Jones Indices and MSCI Inc. to name Real Estate the eleventh GICS stock classification. Learn more.
July 15, 2016, the IRS and the U.S. Department of the Treasury issued proposed regulations on tax-free spin-offs.
How do you ensure nothing slips through the cracks when going through a merger? It’s all about having the right team in place to manage the post-merger transition.
How to address the potential legal issues that come up during the M&A due diligence process.
Use this handy chart to compare the most common company types on key factors, including formation, taxation and compliance requirements.
The best of these automation tools are designed to fit neatly within the law firm deal workflow and require little to no training, making adoption painless.
Understand the risks involved of not using a professional Registered Agent for your clients. Our whitepaper outlines six recent cases on the subject; we hope you’ll find it to be a valuable aid in your client discussions.