Jeanette C. Timmons brings a comprehensive approach to corporate and securities law, working with an array of public and private entities. Throughout her career, she has actively engaged in every facet of corporate finance and securities law, from entity formation to private placements to IPOs. She focuses her practice on representing companies in activities such as capital formation, mergers and acquisitions, corporate governance, and securities regulation. Additionally, she handles bank regulatory law issues, including the formation and acquisition of banks and regulation of bank holding companies, and securities law compliance for broker-dealers and investment advisors.
Throughout her career, Timmons has provided securities counsel for public companies listed on the NYSE and the Nasdaq in various sectors, such as banking, financial services, energy, franchising, and hazardous waste management. She has also represented numerous private entities in fields including financial services, investment management, banking, energy, technology, food services, and healthcare.