Mark S. Radke focuses his practice on defending corporations and individuals in U.S. Securities and Exchange Commission (SEC) enforcement proceedings and counseling clients on compliance and corporate governance issues.
Mr. Radke has represented public companies, audit committees and various executives in SEC investigations into financial reporting and accounting fraud, Foreign Corrupt Practices Act violations, alleged insider trading, and violations of various broker/dealer and investment advisory rules and regulations. He also has experience conducting internal investigations, and he has defended clients in state and federal criminal investigations and inquiries into securities-related matters.
"U.S. Law – The Foreign Corrupt Practices Act and Beyond," in International Corruption Law (2010)
"Does Severe Punishment Deter Financial Crimes?" (co-author) University of Charleston Law Review (Spring 2010)
Speeches and Presentations
"Current FCPA Issues in the Medical Device Industry," (co-speaker) Bloomberg BNA Webinar (Sept. 18, 2012)
"International Government Investigations, SEC Whistleblowers and Private Follow-On Actions: Playing Chess on Multiple Boards," ABA 2011 Toronto Annual Meeting (Aug. 5, 2011)
"Dodd-Frank Whistleblower Act: Significant Impact to the Role of Internal Corporate Compliance Programs," Webinar (June 10, 2011)
Prior to joining Schiff Hardin, Mr. Radke was a partner in the Washington, D.C., office of a national law firm. He has also served as the chief of staff to the chairman of the SEC, and he previously served as an attorney in the SEC's Division of Enforcement.
Georgetown University Law Center (LL.M., Securities Regulation, 1984)
University of Baltimore School of Law (J.D., 1982)
University of Washington (B.A., 1979)
Adjunct Professor, Georgetown University Law Center SEC Enforcement
Securities and Futures; Regulation
District of Columbia
U.S. District Court for the District of Columbia
GABRIEL SALTARELLI is a partner in the firm's New York office whose practice focuses on mergers and acquisitions and private equity. Mr. Saltarelli advises clients on complex M&A transactions, including public company mergers, purchases and sales of private companies, and the formation and disposition of joint ventures. He also advises on corporate finance transactions.
Mr. Saltarelli's mergers and acquisitions experience includes representing acquirers and sellers in a variety of industries, including health care, insurance and other financial services, energy, oil and gas, steel and other manufacturing, hospitality, telecommunications, internet, entertainment and publishing.
Mr. Saltarelli's corporate finance experience includes representing borrowers and lenders in connection with credit facilities, as well as issuers and investment banks in connection with public offerings, Regulation S and Rule 144A offerings and private placements.
AREAS OF FOCUS
Shaan Elbaum is a Director in the U.S. firm in the Transaction Services Practice concentrating in financial reporting valuation. As a valuation consultant for the past five years, he has worked on numerous aspects of financial reporting valuations relating to SFAS 141 purchase price allocations, SFAS 142 impairment studies, SFAS 123R private company stock valuations, and Private Equity investments (for both debt and equity securities). These valuations are for companies located both domestically and internationally pertaining to a wide range of industries including, oil and gas, energy, technology, entertainment and media, aerospace, financial services and more. In addition he has worked on due diligence advisory projects focused on accounting and valuation issues as well as derivatives and hedging activities.
Prior to joining the valuation practice, Shaan spent five years in the audit and business advisory services side of the firm focused on the financial services industry. He has worked on numerous audits of financial institutions and mortgage banking enterprises. On the advisory services side he has assisted in numerous strategic development and operational re-engineering projects for top ten consumer finance and bank affiliated mortgage companies.
Shaan has given many presentations and training classes on various valuation related topics. Most recently he has presented industry hot topics related to Private Equity and Venture Capital valuations to both within the firm and client facing. In addition he has spoken at Mortgage Servicing Conferences during 2005, and at various mortgage companies prior, focused on asset valuation.
Shaan has an M.B.A. from Duke University’s Fuqua School of Business where he was designated a Fuqua Scholar and earned a B.S. degree in accounting from Yeshiva University. He participated in the AICPA National Banking School program at the University of Virginia, McIntire School of Commerce and is a licensed Certified Public Accountant in New York.
Ms. Paradise is General Counsel of White & Case LLP. As such, she advises the Firm's lawyers on issues relating to professional responsibility, manages the Firm’s Compliance and New Business Teams, and is a member of the Firm's Global Risk Management Committee.
Prior to joining White & Case, Ms. Paradise practiced in the litigation department at another leading firm where she litigated matters on behalf of financial service and communications industry clients.
Ms. Paradise is a former member of the American Bar Association's Standing Committee on Ethics and Professional Responsibility and of the Committee on Professional Responsibility of the Association of the Bar of the City of New York. She frequently lectures on issues pertaining to professional responsibility and teaches Ethics and Professionalism at Fordham Law School.
Ms. Paradise is a graduate of Columbia Law School where she was an Editor of the Columbia Law Review and a Stone and Kent Scholar. Ms. Paradise clerked for the Honorable Nina Gershon, United States District Court Judge for the Eastern District of New York from 2002-2003.
Bradley H. McGrath
KPMG, LLP, Director, Transactions & Restructuring – Accounting Advisory Services, New York City
Master of Science in Accounting, Texas A&M University
Bachelor of Science in Accounting, Texas A&M University
Licensed CPA in New York and Texas
Brad is a Director in the New York office of KPMG’s Transactions & Restructuring – Accounting Advisory Services practice. He provides technical accounting assistance to a number of audit and advisory clients, primarily in the financial services industry. Technical areas of concentration include derivative instruments and hedging activities, consolidations, securitizations, and financial instruments. Brad is a member of KPMG’s Financial Instrument and Derivatives Resource Team, and he has experience applying accounting principles under both US Generally Accepted Accounting Principles and International Financial Reporting Standards.
Prior to joining KPMG, Brad held a one-year appointment as a Postgraduate Technical Assistant at the Financial Accounting Standards Board (“FASB”). During his time there, he worked on various FASB and Emerging Issues Task Force projects related to derivative instruments and hedging activities, fair value, and revenue recognition.
Dana McFerran is a Managing Director in the Forensic practice for KPMG LLP. She has spent over sixteen years focusing on financial statement analysis, financial reporting and general fraud and misconduct investigations, Foreign Corruption Practices Act investigations and due diligence procedures, post-acquisition dispute arbitration matters, expert witness services, litigation support and damage claim analyses across all industries. Dana has conducted a wide variety of forensic accounting investigations in connection with management and Audit Committee investigations, DOJ, SEC and international enforcement proceedings. Many of these matters have also resulted in assisting clients enhance compliance programs and controls to mitigate bribery and corruption and general fraud risks. Dana spent two years in KPMG's Audit practice prior to joining the Forensic practice.
Professional and Industry Experience
Function and Specialization
Education, Licenses & Certifications
Daniel V. Dooley, Sr. is a former partner (retired) in the firm of PricewaterhouseCoopers LLP, where he was the global leader of the firm’s Securities Litigation and Investigations Consulting practice. As an audit partner, he performed examinations of companies in a wide range of industries and sectors – including: computers and electronics, energy, financial institutions, manufacturing and products, oil and gas exploration and production, and real estate, and software. Dooley has served as partner for the corporate investigations of – among others: Aetna US Healthcare, Ahold (Royal Ahold N.V.), Computer Associates International, DaimlerChrysler, First Republic Bancorp, McKesson HBOC, Network Associates (McAfee), Parmalat S.p.A, Phar-Mor, Sensormatic, and Xerox. He has served as an expert accountant on behalf of the U.S. Department of Justice, the U.S. Securities and Exchange Commission, and a number of private plaintiffs and defendants; and he has been qualified as an expert witness by various federal district courts, and various federal bankruptcy courts, and in the federal court of claims. Also, Dooley has served as an arbitrator in a number of accounting-related matters. He was editor-in-chief of the PricwewaterhouseCoopers Annual Securities Litigation Study, and chairman of the editorial board and editor of the West Law Securities Litigation Reporter; and he has served as an adjunct professor at New York State University – Stony Brook, and lectured at Harvard Law School, University of Chicago Graduate School of Business, Dartmouth Tuck School of Business, and Fordham Law School. He is a Certified Public Accountant, licensed in various states including New York, Connecticut and Louisiana, and he is a member of the American Institute of Certified Public Accountants and various state societies of CPAs. Presently, Dooley consults to a number of U.S. and foreign companies on litigation-related accounting issues and matters before the Securities and Exchange Commission.
Dubravka K. Tosic, Ph.D. is an Economist and Director at Berkeley Research Group, LLC (BRG), a national leader in economic and statistical consulting. Prior to joining BRG, Dr. Tosic spent almost 6 years as a Principal at ERS Group, and over 12 years as a Director in the Dispute Analysis practice of PricewaterhouseCoopers, LLP in New York.
Dr. Tosic provides consulting and expert witness assistance in all aspects of labor and employment disputes, litigation and arbitration matters, regulatory audits, and in connection with pro-active company reviews. She has experience in preparing statistical analyses and damage calculations in connection with allegations of employment discrimination with respect to various employer actions (e.g. hiring, promotion, termination, and compensation), executive compensation, breach of employment contract, personal injury and wrongful death, and wage and hour issues.
Dr. Tosic has testified as an economic expert in Federal and State court matters, and has worked with numerous Fortune 500 companies, national and international law firms, Federal, State and Local government entities, and international organizations. She is also a frequent presenter to professional organizations on economic, financial, and statistical analyses.
Dr. Tosic received her Master’s degree and Ph.D. in economics from Florida State University and her Bachelor’s degree in economics from University of Maryland.
Ewa Knapik is a Director in the New York Forensics Services Practice of PricewaterhouseCoopers ("PwC") and has over 20 years of professional experience. Ms. Knapik provides specialized advisory services to attorneys and their clients and senior company management.
Ms. Knapik's area of expertise is fraud investigations, forensic accounting services, and internal controls assessments including corporate and regional policies and procedures. Ms. Knapik has managed a variety of significant international and domestic assignments covering accounting fraud, and asset misappropriation, Foreign Corrupt Practices Act (FCPA) procedures, including risk assessments, compliance, implementation and training, gap compliance reviews, investigations, remediation, third party reviews and audits, and third party pre-acquisition due diligence. She has addressed issues in approximately 20 countries in Europe, Asia-Pacific and South America.
Clients have included prominent U.S. based international companies in addition to major foreign companies listed on US stock exchanges and have spanned a variety of industries including: Oil & Gas, Aerospace & Defense, Automotive, Banking & Capital Markets, Chemical, Communications, Entertainment & Media, Financial Services, Information-Telecommunication, Insurance, Real Estate, Retail & Consumer Products, Technology, Pharmaceuticals & Life Sciences, and Wholesale & Distribution.
Ms. Knapik is a Certified Public Accountant (CPA) licensed in the State of New York and is a member of the American Institute of Certified Public Accountants (AICPA). She has an MBA Degree in Public Accounting.
Jim Agar, a Director in PricewaterhouseCoopers LLP's Advisory Forensic Services practice, where serves in the leadership of the firm’s national Post-M&A Disputes practice. Mr. Agar first joined the firm in 1993; his twenty-one years of professional experience include:
His clients have included numerous multi-national, national, regional, and single-office law firms and entities in such diverse industries as government, as well as publicly-traded and privately-held insurance, pharmaceuticals, energy, commercial real estate, consumer products manufacturing and distribution, and retail sales companies.
Mr. Agar is a Certified Public Accountant (CPA), licensed in Massachusetts and New York, and is a member of those states' CPA societies. Additionally, he holds the Certified in Financial Forensics (CFF) designation from American Institute of Certified Public Accountants (AICPA), of which he is also a Forensic and Valuation Services Section member; and he is a Certified Fraud Examiner (CFE) (Association of CFEs) and a Certified Insolvency and Restructuring Advisor (CIRA) (Association of Insolvency and Restructuring Advisors [AIRA]). He is also an Associate member of the American Bar Association (ABA), and serves on its Criminal Justice Section (CJS) Northeast Regional Subcommittee and is the Co-chair of the CJS’s National Forensic & Investigative Practices Committee.
Outside the profession, Mr. Agar is a 2010 and 2011 recipient of the March of Dimes Birth Defects Foundation's National President's Award. He is also an Eagle Scout and a council- and unit-level volunteer for the Boy Scouts of America.
He is a graduate of Fairfield University.
Mr. Lesterhuis is a Senior Director at KPMG Corporate Finance LLC’s special situations practice, where he focuses his practice on both healthy and distressed organizations in various stages of their lifecycle. Pieter has extensive experience in advising and executing on reorganizations, restructurings, capital raises, buy side advisory, sell side advisory, merger integrations and various interim management roles for clients across a wide range of industries which include transportation, construction, financial services, automotive, for profit education, manufacturing, retail and technology.
Professional and Industry Experience
Pieter has provided financial advisory services to a wide variety of constituents, including companies/ borrowers, lenders, equity holders, and impartial constituents (such as Examiners or Trustees) and has extensive experience in most facets of the bankruptcy process. He has provided restructuring and distressed M&A advisory services to troubled companies and their constituencies during out-of court workouts and bankruptcy reorganizations. Specific responsibilities for stressed and distressed companies have included; preparing companies for potential bankruptcy filings; executing 363 transactions; advising management on appropriate courses of action; negotiating with Creditors, Debtors and Customers; consulting in areas of bankruptcy law, including statutory requirements and company operations in Chapter 11; financial modeling; preparing budgets; and preparing communications with internal and external parties.
Pieter’s extensive experience in corporate turnarounds includes; developing overall strategy; prepared business plans, thirteen-week cash flow financial models, daily cash management, financial modeling and related scenario and sensitivity analysis, reducing costs; both devising and implementing strategy; assessing customer and product profitability; liquidating inventory; restructuring debt; restructuring operations; and preparing communications with internal and external parties.
Pieter also spent numerous years at a bulge bracket investment bank where he gained extensive experience in global M&A, equity and debt raising transactions for both healthy and stressed companies. Prior to this Pieter worked as both an Engineer and Management for several engineering and construction companies.
Pieter holds an M.B.A degree from the University of Chicago Graduate School of Business, as well as a M.S degree in Civil Engineering and a B.S. degree in Civil Engineering from Bradley University. He is also a Certified Distressed Business Valuation Professional (CDBV), Certified Insolvency and Restructuring Advisor (CIRA), and Certified Turnaround Professional (CTP).
Function and Specialization
Education, licenses & certifications
Patricia A. Etzold is a Forensic Services Partner in PricewaterhouseCoopers LLP's International Investigation and Litigation practice in New York. She provides specialized advisory services to boards of directors, audit committees, and internal and external counsel of multi-national companies. She specializes in complex investigations and litigation support to in-house and outside counsel. She has assisted the Department of Justice in their prosecution of certain matters and has assisted companies' counsel respond to informal and formal Securities and Exchange Commission and Department of Justice inquiries.
Some of her representative engagements include:
Ms. Etzold brings over 30 years of accounting and global business experience to her clients and is a regular speaker on forensic financial investigative and remedial topics. She serves as Chairman of the AICPA Judiciary Sub-Committee and is a member of the National Judicial College faculty. In 2012, Ms. Etzold received Consulting magazine’s “Women Leaders in Consulting” award for her outstanding achievements in client service. She leads the Securities Litigation team at PricewaterhouseCoopers LLP and is co-editor of the Firm's annual Study. She is a Certified Public Accountant in New York and New Jersey and is certified in financial forensics by the American Institute of Certified Public Accountants (AICPA). Ms. Etzold is also a current member of the Board of Trustees at Bloomfield College in Bloomfield, NJ.
Richard J. Bernard is a partner with Foley & Lardner LLP. His practice concentrates on corporate and financial restructuring, business solutions, bankruptcy litigation, secured transactions, corporate governance, mergers and acquisitions, and debtors’ and creditors’ rights. Mr. Bernard represents debtors, creditors, buyers, financial institutions, contract counterparties, trustees and official and ad hoc committees in large-asset bankruptcies, out-of-court workouts and adversary proceedings. Mr. Bernard’s experience spans numerous industries, including energy, aviation, retail, manufacturing, telecommunications, financial services, heavy industry, real estate and hospitality. He is a member of the firm’s Bankruptcy & Business Reorganizations Practice and Energy Industry Team.
Mr. Bernard received his J.D., cum laude, from the University of Miami School of Law and his B.A. in economics from Columbia College, Columbia University.
Upon receiving his J.D., Mr. Bernard clerked for the Honorable Robert A. Mark, United States Bankruptcy Court, Southern District of Florida.
Mr. Bernard has been Peer Review Rated as AV® Preeminent™, the highest performance rating in Martindale-Hubbell's peer review rating system. He also serves on the board of directors for the New York chapter of the Turnaround Management Association (TMA).
Mr. Bernard is admitted to practice in New York; Connecticut; Florida; and before the U. S. District Courts for the Eastern District of Michigan; Southern, Eastern, and Northern Districts of New York; Southern, Middle and Northern Districts of Florida; District of Connecticut and the U.S. Court of Appeals for the Sixth and Eleventh Circuits.
Sandra Maria T. Parrado has 22 years of experience in providing Advisory and Forensic Services. She is a NY-based Forensics Partner with a focus on investigations of fraud and forensic accounting matters; anti-corruption matters; pre-merger due diligence related to fraud and corruption; anti-money laundering lookback investigations; as well as litigation support.
Ms. Parrado’s experience in forensic accounting has included investigations into highly complex matters involving fraud, accounting irregularities, and employee conduct across a broad range of industries, including the financial services, technology, telecomm & cable, construction, automotive industry, and retail & consumer. She also advises her clients regarding fraud risk assessments, detection and prevention, as well as provides training on fraud awareness and investigation techniques.
Ms. Parrado's experience in matters related to foreign corrupt practices, including investigations, compliance controls, pre-merger due diligence, audit program development and execution, as well as training development and delivery. Her clients have included multi-national companies in aerospace and defense, engineering and construction, industrial products, pharmaceuticals, medical devices, and health care consumer products, and technology industries. Her FCPA engagements and investigative experiences have focused on a number of high risk regions in Asia, Eastern Europe, Middle East and Africa.
Ms. Parrado is also experienced in litigation matters, including damage valuations in the areas of intellectual property and antitrust. She has also prepared damage analyses and expert reports relating to patent, copyright, and trademark infringement, misappropriation of trade secrets, breach of contract, labor disputes, and antitrust claims for clients in the pharmaceutical, telecommunications, fire and safety equipment, gas sensors, software data encryption, prosthetic manufacturing, financial services, and consumer health care industries.
Ms. Parrado has a Bachelor of Science in Economics from The Wharton School of the University of Pennsylvania. Her concentrations were in Finance, Accounting, and Operations & Information Management. Ms. Parrado is a Certified Public Accountant in New York and the District of Columbia.
Steven Skalak is a US CPA and Forensic Services Partner in PwC’s New York office. Mr. Skalak brings 24 years of experience as a partner and 34 years of professional experience to his domestic and international clients. He has served in 3 offices of the Firm, the New York office, the National Office – Office of General Counsel (2 year assignment), and the Beijing Office (2.5 year assignment). Mr. Skalak has served Court Appointed Trustees, as an Expert in State and Federal Courts, as an expert in matters adjudicated by ICC rules and foreign jurisdictions (HK and Bahamas), as an Arbitrator, and as a forensic accounting investigator for public and private companies, in which capacity he has appeared before the US SEC, the US CFTC, the US Department of Justice, NY State Banking Examiners, and the NY Federal Reserve Bank. Included in his experience are a wide variety of international and domestic investigations and disputes including the following:
BARTHOLOMEW A. SHEEHAN, III, a partner in the New York office of Sidley Austin LLP, focuses on the representation of underwriters and issuers of publicly and privately offered debt and equity securities, with an emphasis on companies in the real estate and energy industries, particularly real estate investment trusts ("REITs"). In addition to securities offerings, his practice includes consultation with clients regarding corporate governance matters and public company reporting obligations. Mr. Sheehan is also active in representing pooled investment entities, such as hedge funds and private equity partnerships and their managers.
Mr. Sheehan has served as underwriters' counsel on numerous REIT financings, including financings for Acadia Realty Trust, CBL & Associates Properties, Inc., Campus Crest Communities, Inc., Education Realty Trust, Inc., Equity LifeStyle Properties, Inc., Federal Realty Investment Trust, First Potomac Realty Trust, Government Properties Income Trust, Hospitality Properties Trust, Kimco Realty Corporation, LaSalle Hotel Properties, Pebblebrook Hotel Trust, RLJ Lodging Trust, Select Income REIT, Spirit Realty Capital, Inc., Weingarten Realty Investors and W.P. Carey Inc. In the energy area, Mr. Sheehan has represented underwriters in connection with numerous financings for Duke Energy Corporation and its subsidiaries.
Mr. Sheehan is recognized by Chambers USA as a leading lawyer in Capital Markets – REITS and by Legal 500 USA in Capital Markets: Equity Offerings, Debt Offerings and in Real Estate Investment Trusts. Mr. Sheehan is also a trustee of the Brooklyn Academy of Music.
Mr. Pearsall has worked as a testifying expert and economic consultant for more than 25 years and has provided opinions in matters involving economic damages and asset valuation for clients in various industries as well as for the U.S. and State Governments. He has provided testimony regarding economic damages in commercial disputes involving, among other things, commercial fraud, real estate investment instruments, breach of contract, changes in asset and/or share value, fiduciary duty, lost wages and operating margins. He has analyzed financial markets and instruments, quantified business interruption losses, developed economic and financial models to analyze business value and used event studies to model change in share price associated with negative activity. He has developed analyses and directed research engagements involving industry transactions, corporate spinoffs, asset allocations, funded liabilities and market activity.
Mr. Pearsall has provided expert testimony and consulted in numerous intellectual property (IP) matters involving determinations of economic damages based on applications of reasonable royalty rates, lost profits, price erosion, and overall changes in firms’ IP asset values. He has been retained as an expert to determine values of intellectual property assets such as patents, trademarks, copyrights, and trade secrets. Mr. Pearsall has provided testimony and quantified damages associated with changes in firms’ sales and/or market strategy resulting from events affecting firms’ abilities to compete. Mr. Pearsall also has testified as to the appropriateness of alternative damage calculations set forth by opposing parties.
Mr. Pearsall has worked on a variety of matters focusing on antitrust issues including attempted monopolization, price discrimination, tying, predatory pricing, price fixing, collusion, vertical and horizontal restraints. He has submitted expert reports and developed economic analyses of liability and damage claims in antitrust matters in which allegations of anticompetitive behavior were levied. He has developed analyses pertaining to possible antitrust issues associated with industry standardization and licensing strategies involving intellectual property assets.
Mr. Pearsall has led business consulting engagements involving market intelligence, pricing models, analyses of corporate financial data, firms’ assets, collection and interpretation of survey data, sales forecasts, economic modeling, predictive analyses, competition and marketing campaigns. He has expertise in application of economic and financial theories in the organization and management of complex engagements as well as market analyses, acquisition of patented technologies, revenue performance, cash flow models, and industry competition.
Mr. Pearsall has a B.A. and M.A. in Economics from Virginia Tech.
Since 1989, Philip Antoon has been assisting clients worldwide in the valuation of corporate entities and intangible assets, with in-depth focus providing these valuations for U.S. and international tax purposes, as well as U.S. financial reporting purposes.
Mr. Antoon assists companies of all sizes globally with valuations of legal entities and assets for: internal tax reorganizations and spin offs; related party IP transfers for U.S. and international transfers; intercompany debt issuances, transaction allocations for IRC Sections 338 and 1060; Section 280g; FIRPTA testing; gift and estate; interest expense apportionment; partnership basis; cost segregation; NOL limitations and built-in gains; as well as estimating preferred coupon rates and debt interest rates. Mr. Antoon has authored numerous articles regarding valuation issues related to valuations of entities and assets for U.S. tax purposes.
Mr. Antoon has in-depth experience providing fair value analyses for ASC 350 and 805 purposes, having valued reporting units and a wide array of intangible assets including customer relationships / contracts, patented technology, trademarks / trade names, proprietary know how, in-process research and development, franchise agreements, communications licenses, reserves, backlog, databases, and non-compete agreements.
Mr. Antoon also has in-depth experience in the valuation of fractional interests, preferred stock, options and debt, having performed these valuations for tax, financial reporting, restructuring, mergers and acquisitions, gift and estate, across a variety of industries.
Prior to joining A&M, Mr. Antoon was a Managing Director in the Valuation Services practice of PricewaterhouseCoopers, and was the Global Practice Leader of the Valuation Services Practice at Kroll prior to working at PricewaterhouseCoopers.
Mr. Antoon earned a bachelor of science degree in finance from West Virginia University.
George Carbone is a Managing Director in KPMG’s Transaction Services practice in New York City. He leads multi-disciplinary teams providing services to leading strategic and private equity investors across a variety of industries including media and technology, industrial and consumer markets. He has advised clients on numerous domestic and cross-border transactions.
George has 15 years of audit, buy-side due diligence, vendor due diligence and corporate restructuring experience. He holds B.A. in Economics from the University of Pennsylvania and is a C.P.A.
Joe Nuzzolo is a Managing Director in the PwC Capital Markets Advisors group and has over twelve years of experience in global investment banking, corporate finance, and capital markets. He works on a broad range of corporate finance, capital structure, capital markets, and valuation advisory assignments.
Joe joined PwC in 2013 from Lazard Frères & Co. LLC, where he played an instrumental role in building Lazard’s global Corporate Finance & Capital Markets Advisory practice. While at Lazard, he provided clients with independent and objective advice on a broad range of corporate finance and capital markets topics. Representative advisory engagements include:
Prior to Lazard, Joe was a Director in the Corporate Finance Group in Investment Banking at Merrill Lynch. While at Merrill Lynch, he advised clients on capital structure and corporate finance issues, executed financings, and developed value-enhancing structures for M&A and capital markets transactions. Previously, Joe has held positions in M&A and investment banking at Merrill Lynch and JPMorgan.
Joe has a MBA in Finance from MIT Sloan School of Management, a M.S. in Chemical Engineering from University of California, Los Angeles, and a B.S. in Chemical Engineering from Tufts University.
Jeff's practice focuses on mergers and acquisitions and financial advisory work. He has advised clients regarding mergers and acquisitions, dispositions and general corporate issues, such as fiduciary duties analysis, disclosure philosophy and compliance with federal securities law. With experience representing both public and private clients, Jeff has handled transactions involving a range of industries, including health care, telecommunications, retail services, financial services and energy.
While at his prior law firm, Jeff led the financial advisory practice which was frequently ranked in the top 15 by Corporate Control Alert in terms of number of mergers and acquisitions transactions announced. Clients included the bulge bracket, the top middle market firms, as well as the premier boutique investment banks in rendering fairness, solvency and valuation opinions.
In addition to his law career, Jeff has worked as an investment banker at J.P. Morgan Chase & Co. He has also written a number of articles appearing in The Deal, Euromoney and other publications. In addition, Jeff frequently speaks on financial advisory matters in venues such as the Practicing Law Institute and American Bar Association meetings. In law school, Jeff was associate editor of the American Criminal Law Review.