The attorneys at Abrams Fensterman recognize the heightened importance of sound corporate governance and the increased responsibilities of directors. We advise boards in exercising their judgment in light of their fiduciary duties of care and loyalty, including in the context of compliance with the ever-expanding regulatory landscape. We regularly advise boards with respect to issues including board structure and committees; conflicts of interest; appropriate minutes; management succession plans; the composition and scope of special committees; and, where applicable, SEC filing and other regulatory obligations.
Our lawyers advise directors and officers of corporations on myriad issues relating to corporate governance. If your corporation needs help with governance, allow our dedicated team to aid you in all of your needs. Our attorneys advise directors and management on all aspects of best practices, disclosure and compliance; including compliance with the Sarbanes-Oxley Act of 2002 and the Investment Company Act of 1940. We assist with the creation of bylaws and other corporate documents, in determining the fiduciary duties of directors and officers and resolving various issues related to corporate governance that may emerge during the course of business.
Having one of the attorneys at Abrams Fensterman as your advisor will help assure that your entities' goals are achieved in a safe, appropriate and compliant fashion.
For further information about our corporate and securities experience, please contact our law firm on Long Island at 516-328-2300, in Brooklyn at 718-215-5300, White Plains at 914-607-7010, Rochester at 585-218-9999 or Albany at 518-535-9477 to schedule an initial consultation.