Mr. Marshall provides advice to domestic and international businesses in matters relating to mergers and acquisitions, private and public corporate finance, the Securities Act of 1933 issues and registrations, reporting obligations under the Securities Exchange Act of 1934, Sarbanes-Oxley compliance, general taxation matters, broker dealer and general securities issues, asset-based financing, project finance, technology licensing, contracts and commercial transactions.
Education and Career Background
University of Rhode Island - College of Business Administration (BS, 1980)
St. John's University School of Law (JD, 1984)
New York University School of Law (LL.M. in Taxation, 1987)
Admitted in the States of New York and Connecticut
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