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Hunton Andrews Kurth LLP

Jacque Kruppa

Jacque Kruppa



  • Banking and Finance
  • Financial Institutions Corporate and Regulatory
  • Mergers and Acquisitions
  • Capital Markets and Securities

WSG Practice Industries



Ms. Kruppa’s practice focuses on corporate, securities, and regulatory representation of commercial banks, holding companies, other financial institutions, and their owners. She regularly advises clients on matters related to the acquisition or sale of existing financial institutions, and the acquisition, sale, establishment and relocation of branch offices.  Ms. Kruppa has represented banks and bank holding companies in over 70 M&A transactions, including whole bank and branch acquisitions.

Ms. Kruppa’s corporate and securities practice includes representation of issuers and placement agents in private offerings of equity and debt securities, and Ms. Kruppa has worked on over 40 offerings.  In addition, Ms. Kruppa regularly advises financial institutions regarding regulatory compliance matters involving the Federal Deposit Insurance Corporation, the Federal Reserve Board, the Office of the Comptroller of the Currency, and other state regulatory agencies, including the Texas Department of Banking.

Ms. Kruppa also advises clients on various strategic opportunities, including Subchapter S restructuring, share repurchases and tender offers, charter conversions, and holding company formations, among others.  Ms. Kruppa is experienced in assisting investor groups with organizing de novo banks, including both the regulatory and capital raise aspects of such formations.

Ms. Kruppa advises clients on the design, implementation and administration of employee stock ownership plans, employment agreements, and related matters.

Ms. Kruppa has been a speaker at numerous banking events, including events sponsored by the Independent Bankers Association of Texas, the Texas Bankers Association, the Oklahoma Bankers Association, Women in Community Banking, Financial Women in Texas, the Independent Community Bankers of America, and the Texas Society of Certified Public Accountants.


BBA, Texas A&M University, Finance, magna cum laude, 2002
Areas of Practice

Banking and Finance | Capital Markets and Securities | Financial Institutions Corporate and Regulatory | Mergers and Acquisitions


Clear as Mud? Understanding The Fed's Change in Control Rules and Common Inadvertent Violations
Hunton Andrews Kurth LLP, October 2020

The Board of Governors of the Federal Reserve System (the “Fed”), the Office of the Comptroller of the Currency (the “OCC”), and the Federal Deposit Insurance Corporation (the “FDIC”) each have regulations implementing the Change in Bank Control Act (12 U.S.C...

Additional Articles

  • Presentations Reveal Regulatory Concerns, The Wyoming Banker
  • Six Ways to Protect Your Bank’s S Election, The Texas Independent Banker Magazine
  • Should You Consider Removing Shareholder Preemptive Rights?

WSG's members are independent firms and are not affiliated in the joint practice of professional services. Each member exercises its own individual judgments on all client matters.

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