Jeremy Lemmon

Office Phone:

(512) 583-5900

Direct Phone:

(512) 583-5903


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Bio

Jeremy Lemmon practice focuses on corporate, securities and regulatory representation of commercial banks, thrifts, holding companies, other financial institutions and their owners and investor groups. Mr. Lemmon regularly represents and advises clients on all matters related to mergers and acquisitions of public and private financial institutions and related entities, including stock and asset transactions, mergers of equals and other corporate finance transactions. Mr. Lemmon also regularly represents issuers, placement agents and underwriters in public and private offerings (underwritten and self-directed) of equity and debt securities, including primary offerings and secondary transactions, private placements and offerings to employee stock ownership plans. As an integral part of his practice, Mr. Lemmon regularly advises clients on a broad variety of bank regulatory matters involving the Federal Deposit Insurance Corporation, the Federal Reserve Board, the Office of the Comptroller of the Currency, and state regulatory agencies. In addition, Mr. Lemmon regularly advises boards of directors and management teams regarding general corporate and commercial matters, including formation, corporate governance, risk management, corporate fiduciary matters, conflict of interest transactions, policies and procedures, and contractual arrangements, including employment, consultant, vendor, supply and other third party agreements.

Education