Benjamin A. McCall focuses his practice on mergers and acquisitions, securities offerings, SEC compliance and periodic reporting, corporate governance, stock exchange listing requirements and general corporate and regulatory matters. He works primarily with financial institutions, both public and private, including community banks, bank holding companies, savings institutions, credit unions, investment banks and broker-dealers.
Ben represents buyers and sellers in multi-million dollar public and private mergers and acquisitions, asset purchase transactions and branch acquisitions. In addition, Ben frequently represents issuers and underwriters in initial and secondary public offerings, as well as in private placements of debt and equity securities.
He frequently helps C-suite executives and boards of directors manage their corporate and fiduciary duties, including matters related to shareholder relations, proxy matters, conflicts of interest, independence, good faith and due care.
Ben also helps publicly held financial institutions maintain compliance with the Sarbanes-Oxley Act, the Securities Exchange Act of 1934 and other federal, state and Securities and Exchange Commission (SEC) regulations. Ben earned his Juris Doctor degree from the University of North Carolina, and he earned a Bachelor of Science degree, magna cum laude, from Virginia Tech.