Mary Sheridan is a corporate and securities attorney with more than 20 years of experience in the areas of securities law, corporate compliance and ethics, and general corporate law. In addition to her boutique law firm experience, Ms. Sheridan was a senior associate in the Corporate Finance group at Skadden, Arps, Slate, Meagher & Flom, LLP, where her practice focused on capital markets and other corporate transactions. Ms. Sheridan represents clients in public offerings and private placements of equity and debt securities (including private placements under Rule 506(c) of the Securities Act, crowdfunding offerings under Title III of the JOBS Act and Regulation CF and Regulation A+ offerings), mergers and acquisitions, and general corporate matters. She counsels clients with the preparation of SEC filings, corporate governance matters and interactions with security holders, stock exchanges and other regulatory bodies. Ms. Sheridan frequently acts as underwriter counsel on initial and follow-on public offerings and handles related FINRA filings. Ms. Sheridan has also advised clients in the review, design and implementation of ethics and compliance programs, including development of codes of conduct, whistleblower procedures, insider trading policies, confidentiality policies, document retention programs and other internal corporate policies.
Ms. Sheridan graduated Cum Laude with a Juris Doctor degree from St. John’s University School of Law where she was an editor of the St. John’s Law Review.