Corporate Banking and Securities Law Section
Section Goals
Conduct a Section CLE in conjunction with the Bar Convention.
Conduct and sponsor a Corporate Practice Intensive Workshop in 2011.
Continue to inform Section members of significant developments in corporate, banking and securities law through the section listserv, in E-Blast and on the Bar Web site.
Support the Legal Opinion Ad Hoc Committee of the Corporate, Banking & Securities Law Section of the Bar in the development of the Report on Legal Opinions to Third Parties.
Comment and respond to the Federal Trade Commission regarding the Red Flags Rule.
2010-2011 Council Nominations
The following nominations have been made for the Corporate Banking & Securities Law Section for the 2010-2011 Bar year in accordance with Article VII, Section 3 of the Section Bylaws. Not later than April 15, 10 or more members of the Section who are in good standing may file by registered mail with the Chair a nominating petition, containing signatures and printed names and addresses, and making nominations for one or more of the offices to be elected. Such petitions must be accompanied by the written consent of any person nominated. Nominations will be considered closed on April 16.
Officers:
Chair: Jennifer C. Blumenthal
Chair-Elect: Brian Price
Vice Chair: M. Edwin Hinds Jr.
Secretary: John Jennings
Section Delegate: James W. Sheedy
Immediate Past Chair: John H. Muench
Council Members:
Walter J. Nester III (exp. 2011)
Susan E. Driscoll (exp. 2011)
E. Donald Risher III (exp. 2012)
Mark S. Sharpe Jr. (exp. 2012)
Stuart M. Lee (exp. 2013)
Walker H. Willcox (exp. 2013)
Nominating petitions must be received by April 15, 2010 and sent to the SC Bar, Attn: Tara Smith, P.O. Box 608, Columbia, SC 29202, tsmith@scbar.org or faxed to (803) 799-4118. Should you have any questions, please contact Tara at (803) 799-6653, ext. 146 or toll free, (877) 797-2227.
August 12, 2008
December 16, 2008
Staff Contact:
Tara Smith
tsmith@scbar.org
(803) 799-6653, ext. 146