Scott advises clients on capital markets, mergers and acquisitions, and general corporate and securities matters. Clients value his ability to identify practical solutions, navigate regulatory complexities, and deliver pragmatic advice that drives successful outcomes. With over two decades serving clients, Scott has broad experience in representing issuers and underwriters in initial public offerings, secondary offerings, investment grade and high-yield debt offerings, convertible offerings, preferred stock offerings, and other public and private securities transactions. He is highly regarded for his comprehensive knowledge of special purpose acquisition companies (SPACs) and has particular experience counseling foreign private issuers in cross-border transactions. Scott also advises clients in connection with M&A transactions, including strategic acquisitions and dispositions, going private transactions, management buyouts, founder exits, debt and equity tender offers, exchange offers, consent solicitations, and restructurings. Scott is a trusted advisor to boards of directors and executive teams, providing counsel on corporate governance, equity-based compensation, and compliance with federal securities laws and stock exchange rules. He previously served with the legal staff of a Fortune 10 company on a seconded basis, supporting the SEC reporting, compliance, investor relations, and corporate secretary functions.