Financial Institutions
Our firm provides a broad range of legal services to banks and savings associations and their holding companies. We assist our clients with mergers, acquisitions, securities law compliance, public and private placements of equity and debt securities, employment law matters, benefit plans, tax matters, and the negotiation of all types of contracts. We also counsel our financial institution clients on regulatory compliance and enforcement matters.
In addition, we represent financial institutions, other institutional lenders, and borrowers in all types of complex commercial financings. Our attorneys assist both public and private companies in the negotiation, preparation, and review of loan and financing documentation, including syndicated credit facilities, private placements, and cross-border facilities providing for multi-currency borrowing options and the global pledging of collateral security. We also advise our clients on all types of treasury matters, including compliance and reporting issues, local tax incentive programs, aircraft financing, equipment leasing, and documentation related to hedging.
Practice Contact
John C. Vorys
614.464.6211
jcvorys@vorys.com
Attorneys & Professionals
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News
- 2/6/2012 - DCB Financial Corp Retains Vorys to Assist in Stock Sale
- 1/3/2012 - Vorys Named Go-To Law Firm for Ninth Straight Year by Fortune 500 Clients
- 12/16/2011 - 75 Vorys Attorneys Recognized as 2012 Ohio Super Lawyers and Rising Stars
Events
- 9/8/2011 - 2011 OBL/ILFI Joint Convention
- 3/31/2011 - Banking Institute 2011
- 11/10/2010 - Negotiating Bankruptcies, Workouts, and Turnarounds
Publications
- 11/10/2011 - Client Alert: Fed Report Offers Insight into Compliance with Interagency Guidance on Sound Incentive Compensation Practices
- 5/10/2011 - Client Alert: Consumer Financial Protection Bureau - On the Horizon for Federal and State Watchdogs
- 4/11/2011 - Client Alert: Loan Originator Compensation and Anti-Steering Rules Take Effect
