Smith, Gambrell & Russell, LLP

Attorneys

PARTNER
Schwartz, Terry404-815-3731Atlanta
Bainton, J. Joseph212-480-2529New York
Buss, Adam904-598-6129Jacksonville
Crabtree, III, Bruce404-815-3625Atlanta
Doherty, Dennis404-815-3660Atlanta
Elder, M. Timothy404-815-3532Atlanta
McCarthy, John212-480-9435New York
Saunders, John404-815-3682Atlanta
Schwartz, Arthur Jay404-815-3632Atlanta
Schwartz, Robert404-815-3758Atlanta
Wasmuth, Jr., Edward404-815-3503Atlanta
COUNSEL
Kirschner, Kenneth904-598-6105Jacksonville
Simmons, Judson404-815-3653Atlanta

Corporate Governance

Smith, Gambrell & Russell LLP has assisted its clients for many years in establishing and maintaining industry-specific compliance and corporate governance programs.

In this age of government expectation of effective compliance programs and cooperation in government investigations, companies must have ready access to lawyers who can formulate best practices systems and programs and provide guidance in unanticipated times of crisis, such as the unexpected appearance of law enforcement officers with a search warrant in hand. The Corporate Compliance Practice Group brings together experts from the Firm’s various disciplines, including Antitrust, Corporate, Employment, Environmental, Health Care, Immigration, Trade, Litigation, Intellectual Property, Securities, Securities Enforcement and White Collar Crime to counsel clients about corporate best practices. The attorneys in this Group are uniquely qualified to counsel clients on the creation and implementation of corporate compliance programs, perform compliance risk assessment evaluations to determine the effectiveness of existing programs and policies in the context of possible sources of risk, establish programs and procedures for responding to possible misconduct in a cost-efficient but effective manner, and conduct thorough and expeditious internal investigations. The members of the Group have written and supervised the implementation of compliance programs and regularly advise clients on such matters as records retention, international business practices (including compliance with the Anti-Boycott Act and the Foreign Corrupt Practices Act), pre-merger communications between competitors, insider trading policies, and techniques and tools for implementing and facilitating compliance and corporate governance programs. This Practice Group is well-positioned to provide both proactive and crisis management guidance to our clients.

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