Andy’s focus on quality work is driven by family values instilled in him at a very young age. He was taught that “work worth doing is worth doing well” – a value he carries through to his personal life and work with clients.
He brings a willingness to work hard and invest the energy needed to provide efficient high quality client service. With a practice focused in a highly technical area, Andy’s approach to client service and his diverse business and legal background allow him to deliver solid, considered, and practical advice on every client project.
He practices in the area of corporate and securities law, with an emphasis on public and private securities offerings, SEC reporting and compliance, corporate governance, and general business counseling. He has represented established public companies, emerging companies and investors in numerous capital-raising transactions, including SEC-registered offerings, Rule 144A offerings and private offerings. He also has significant experience in the areas of public company disclosure, securities law compliance and the requirements under the Sarbanes-Oxley Act.
- District of Columbia
- Hamline University, J.D.
- University of Minnesota, M.B.A.
- University of St. Thomas, B.A.
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