Mark C. Svalina is an Associate in the firm’s Chicago office and a member of the Financial Institutions practice group.
Mr. Svalina advises corporate clients and financial institutions on significant corporate transactions. He focuses his practice on representation of financial institutions and corporations and their officers, directors and shareholders in connection with mergers and acquisitions, corporate finance, corporate governance, and regulatory and compliance matters. In addition, he has represented clients with respect to various bank regulatory matters, including advising clients with respect to preparing for regulatory exams, responding to enforcement actions and new products/services.
Articles in the National Law Review database by Mark C. Svalina