Practice Expertise

  • Banking and Finance
  • Corporate Governance and Board Advisory
  • Capital Markets and Securities
  • Corporate

Areas of Practice

  • Banking and Finance
  • Capital Markets and Securities
  • Corporate
  • Corporate Governance and Board Advisory
  • ‘34 Act Reporting and Related Matters
  • Financial Institutions Corporate and ...
  • Mergers and Acquisitions
  • View More

Profile

Nate’s practice focuses on transactional, securities, and corporate governance matters involving banks, bank holding companies, and other financial institutions.

Nate advises financial institutions and their holding companies in a wide range of corporate and regulatory matters, including corporate governance matters, securities offerings, mergers and acquisitions, and general bank regulatory matters.

Nate also represents issuers and underwriters in initial public offerings, follow-on public offerings, shelf registration statements, and private placements. His practice includes regularly advising SEC reporting companies, as well as companies with securities quoted on the OTC Markets Group, regarding compliance with ongoing reporting and disclosure obligations under federal and state securities laws, securities exchange and OTC listing requirements, and other federal and state laws.

Nate has also been a speaker or presenter at numerous banking events, including events sponsored by the Texas Bankers Association and the Independent Community Bankers of America.

Relevant Experience

  • Represents banks and bank holding companies in all matters related to mergers and acquisitions, mergers of equals, and branch establishments, sales and purchases.
  • Advises public company clients on federal securities law matters, including compliance with periodic and ongoing and periodic disclosure obligations of SEC reporting companies.
  • Advises public and private company clients on debt and equity offerings as well as federal and state securities law compliance.
  • Advises boards of directors on corporate governance matters, including fiduciary duties, strategic planning designed to enhance or protect shareholder value, developing and implementing corporate responses to activist investors, and ongoing counsel related to corporate governance efficiencies.
  • Represents banks through regulatory applications and capital raising matters for the establishment of de novo bank charters, bank charter conversions, and bank holding company formations.

Bar Admissions

  • Texas

Education
BS, Florida State University, magna cum laude, 2011

Areas of Practice

  • Banking and Finance
  • Capital Markets and Securities
  • Corporate
  • Corporate Governance and Board Advisory
  • ‘34 Act Reporting and Related Matters
  • Financial Institutions Corporate and Regulatory
  • Mergers and Acquisitions

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