Search for: "Bankers Financial Group, Inc." Results 121 - 140 of 298
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16 Aug 2016, 5:57 am by SHG
“It was pretty simple and straightforward,” Aaron Hogue, co-owner of Hogue Inc., said of the situation he faced with Wells Fargo bank. [read post]
10 Jun 2016, 9:37 am by Rich Vetstein
He has dedicated more than 40 years to the mortgage banking industry and holds a Master Certified Mortgage Banker designation from the Mortgage Bankers Association of America. [read post]
7 Jun 2016, 3:58 pm by Kevin LaCroix
Boris Feldman of Wilson Sonsini posted this proposal on the Harvard Law School Forum on Corporate Governance and Financial Regulation blog. [read post]
27 Apr 2016, 9:26 pm by Kevin LaCroix
All of the cases also mention that the IPO investment bankers have offices in California. [read post]
18 Mar 2016, 6:21 am by Patricia Klusmeyer
The Consumer Financial Protection Bureau (“CFPB”) recently instituted a cybersecurity enforcement action against an online payment platform, Dwolla, Inc., in the form of a consent order. [read post]
3 Feb 2016, 7:31 am by Jack Sharman
The poster child example is the acquittal of Raoul Weil, a high-level UBS banker who “remoted” himself from the dirty work of actually servicing U.S. taxpayers seeking to evade U.S. tax. [read post]
8 Dec 2015, 3:58 am by Marx Sterbcow
., PHH Mortgage Corporation, PHH Home Loans LLC, RMR Financial LLC, NE Moves Mortgage LLC, PHH Broker Partner Corporation, REALOGY GROUP LLC, REALOGY Intermediate Holdings, Title Resources Group LLC, West Coast Escrow Company, TRG Services Escrow Inc., NRT LLC, REALOGY Services Group LLC, and REALOGY Services Venture Partner LLC in United States District Court for the Central District of California. [read post]
20 Aug 2015, 8:05 am by Kelly Phillips Erb
When we first started our business, our local banker used to chirp at us, “Accounts Receivable, cash flow! [read post]
8 Jun 2015, 8:42 am by Adam Weinstein
Since 2008 Veale has been registered with Maximum Financial Investment Group, Franklin Christopher Investment Bankers, Inc., Brookville Capital Partners, Blackwall Capital Markets, Inc., Meyers Associates, L.P., John Thomas Financial, and Legend Securities, Inc., until February 2015. [read post]
12 May 2015, 12:51 pm by Arthur F. Coon
On May 7, 2015, the Sixth District Court of Appeal filed a published opinion addressing numerous issues of interest under CEQA’s “fair argument” test for preparing an Environmental Impact Report (“EIR”). [read post]
2 Oct 2014, 3:44 pm by Cathy Holmes
Following registration, an investment company is required to provide annual and quarterly reports to its investors, including audited annual financial statements, which are also required to be filed with the SEC. [read post]
10 Jun 2014, 4:00 am by Barbara S. Mishkin
  Additional briefs in support of the plaintiffs’ motion have since been filed by the Chamber of Commerce and jointly by the American Financial Services Association, the Consumer Mortgage Coalition, the Independent Community Bankers of America and the Mortgage Bankers Association. [read post]