Bio
Bob E. Lehman is a founding member of Lehman & Eilen LLP, a corporate and securities boutique law firm based in Uniondale New York which will be celebrating its 30th anniversary on June 1st. Bob manages L&E’s broker-dealer, investment adviser, investment partnership, and corporate and commercial transaction practice group. His clients are located throughout the United States with many organized as U.S. affiliates of foreign-based securities firms operating in such diverse areas of the world as India, Japan, Ireland, Norway, South Africa, and the United Kingdom. Over the course of his 40 years of practice, Bob has organized hundreds of broker-dealers, numerous investment advisers and private funds as well as structured and closed dozens of corporate transactions for these entities. Bob has advised hundreds of industry participants in regulatory and corporate matters, from start up to dissolution and everything in between, including representing firms and individuals in enforcement actions, advising on reorganizations, financings and commercial transactions, and counseling non-U.S. financial services entities on conducting a securities business in the U.S. His work involves matters with the SEC, FINRA, the CFTC, the NFA, national securities exchanges and clearing organizations and all state securities regulatory authorities. Bob’s clients engage in all aspects of the securities, futures and commodities industries, and range from limited purpose firms engaged exclusively in private placements, mergers and acquisitions and Rule 15a-6 chaperone activities, to full-service retail and institutional introducing broker-dealers, as well as clearing and carrying firms. Bob’s clients are SEC registered and FINRA member broker-dealers, many of whom are also exchange permit holders. Bob also represents SEC registered, exempt reporting and state registered investment advisers servicing both institutional and retail advisory clients. Bob’s broker-dealer clearing clients are also members of clearing organizations, including the Depository Trust Company and its subsidiaries, including the Depository Trust Company Corporation, the National Securities Clearing Corporation, the Fixed Income Clearing Corporation, and the Options Clearing Corporation and he regularly interacts with these regulatory authorities. His client engagements frequently involve securing regulatory approval to engage in all categories of securities and investment banking activities, including portfolio margin, securities lending and prime brokerage, full clearing, and all levels of investment banking activities.