June is a member of the Corporate and Transactional Practice Group. Her practice focuses on U.S. and state securities laws compliance, Sarbanes-Oxley Act and corporate governance issues, and financial institution regulatory matters. She advises clients with respect to private and public securities offerings, compliance with securities laws and regulations, preparation of securities law reports and filings, corporate governance compliance programs and issues, document retention programs, financial Institution regulatory issues, and financial institution mergers and acquisitions.
Securities / Capital Markets Law, Louisville (2018)
Corporate Governance Law, Louisville (2015)
Securities / Capital Markets Law, Louisville (2011)
Selected for inclusion in The Best Lawyers in America®, 2006-2012, in the fields of Corporate Compliance Law, Corporate Governance Law, Corporate Law, Mergers and Acquisitions Law, Securities/Capital Markets Law, Securities Regulation