Chicago Regulatory, Audit Enforcement, Examinations (Exam) and Investigation Defense Lawyer
May Law, PC, is a Chicago, Illinois, based law firm prepared to handle legal issues involving compliance, regulation, and helping businesses maintain best practices to prevent regulatory or business conduct issues, arbitration and litigation. When faced with audits, compliance, regulatory examinations (exams), regulatory investigations or requests for on the record (OTR) testimony involving commodities, FOREX, futures, Options, securities, organization, or structure, May Law, PC, is also prepared to secure business continuity and protect your personal interests.
May Law, PC has particular expertise in defending Securities and Exchange Commission (SEC), Commodities Futures Trading Commission (CFTC), state blue sky agency, and self regulatory organizations like, National Futures Association (NFA), Financial Industry Regulatory Authority (FINRA), the former National Association of Securities Dealers (NASD) under Rule 8210 or New York Stock Exchange (NYSE) investigations and enforcement proceedings. Some of the Firm's greatest successes have been in this arena. Because of the Firm's frequent contacts with enforcement offices, it often sees enforcement matters concluded through devising innovative undertakings, and avoiding unwelcome corrective measures.
Contact Securities Attorney Andrew May
Free consultations · Se habla español · Hours: 8:30-5:30, Monday through Friday, evening and weekend hours by appointment · Call 224-534-0579 or contact May Law, PC's audit or exam attorney by e-mail for an initial consultation or case evaluation. www.maylawpc.net.