Corporate Compliance Attorneys

Companies doing business in the United States face a maze of requirements and regulations. Solomon Blum Heymann’s Corporate and Securities Compliance Practice provides the advice and guidance that corporate officers need to satisfy federal law and SEC mandates.

The Firm’s seasoned compliance attorneys work with human resources managers and corporate officers to develop and implement compliance programs. They advise management on internal investigations into potential irregularities and allegations of non-compliance, help ensure that domestic and international operations comply with securities and employment laws, and perform in-depth analyses of Sarbanes-Oxley compliance programs.

For international companies seeking to conduct business in the United States, our international Corporate Compliance attorneys provide invaluable assistance and guidance in establishing and executing compliance plans to get businesses up and running in the U.S. as soon as possible.

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