At Meissner Associates, Mr. Meissner uses his experience to help FINRA clients, placing them at ease knowing that an experienced professional is handling their FINRA matter competently. The FINRA Attorney firm represents individuals, professionals, businesses, retirees, institutional investors, corporate clients, charities, in matters that require an experienced FINRA attorney, who is highly familiar with securities law, employment law and/or business disputes. As a result of his lengthy experience as a prosecutor the firm handles a variety of FINRA matters, including claims arising from alleged stock broker fraud or negligence or unsuitability, along with employment disputes specific to the securities industry. In his capacity as a lawyer, Mr. Meissner draws from his years of litigation experience accrued at the NYS Attorney General’s Office, the Manhattan District Attorney’s Office and private practice. Mr. Meissner is a published author in Forbes and other major business publications, focusing on the securities industry and specifically on best practices for those employed in the securities industry such as his article Keeping Brokers out of Legal Pinches.
Mr. Meissner has appeared on numerous media outlets including Forbes, CNN, Dow Jones, CNBC, Fox News, Fox Business, Bloomberg, Wall Street Journal, New York Times, Times of London, Newsday, Newark Star Ledger, Albany Times Union, New York Post, New York Daily News, and many other news organizations both as a commentator and in relation to his many cases and has his own You Tube Channel with many of his appearances.
The Meissner firm also provides a range of other experienced legal services including SEC related whistleblower representation, Dodd Frank Act violations, whistleblower retaliation claims, select criminal defense, legal consulting, Wells Notice defense, FINRA and SEC regulatory representation, Martin Act and other subpoena response issues.
Contact our offices for a Free confidential toll free phone consultation at: (866) 764-3100 or (212) 764-3100