Securities and Corporate Law
Jason is a securities and corporate attorney focused on regulation of U.S. capital markets. He advises clients on compliance with securities law and helps corporations navigate issues related to securities offerings, SEC reporting obligations, and general issues related to corporate governance. A portion of his practice deals with early-stage corporations in private placements and initial public finance offerings through non-traditional means, including crowdfunded offerings, ICOs, STOs, and so-called mini-IPOs under Regulation A+.
Jason has worked with the Division of Corporation Finance at the SEC where he worked on securities offerings and corporate reporting obligations, reviewing numerous securities offerings, including IPOs and secondary offerings, and Exchange Act reports, including 10-Ks, 10-Qs, 8-Ks, and Proxy Statements.
Jason’s experience includes serving as Communications Director where he directed communications, government affairs, and regulatory analysis for various clients. His work included media relations, reputation management, crisis communications, and legislative and regulatory monitoring.
Jason earned his law degree from George Mason University, where he was a member of the Journal of Law, Economics and Policy. He also has earned a Master’s in Political Management from The George Washington University and a B.S. in Political Science from Missouri State University.