Julie has served as bond counsel to various state agencies and local governmental entities, including, special districts, cities, counties and public facility corporations; as underwriter and bank counsel to financial institutions that underwrite and purchase tax-exempt and taxable governmental obligations; and as outside counsel to a public facility corporation that owns and operates a convention center hotel and to professional sports teams that lease bond financed sports venue facilities. Julie also has experience representing domestic banks that provide credit and liquidity facilities for tax-exempt financings. Prior to entering private law practice, Julie served as an assistant attorney general in the Public Finance Division of the Office of the Attorney General of the State of Texas.
Mr. Clark works with litigation attorneys and third party vendors to manage the review and production of documents relevant to investigations and litigation. This work includes using early case assessment technology to analyze, categorize and cull data. He also manages teams of skilled professionals performing document review, redaction, analysis, production and drafting privilege logs. Damon assists the litigation team to prepare for trial, including drafting deposition summaries, factual memoranda and exhibit charts. He also works with practice office attorneys on transactional tasks, including contract review and due diligence.
Hayley manages clients' trade mark portfolios and has significant experience in trade mark searching, providing pre-filing guidance, and navigating trade marks successfully through to registration.
She also regularly advises clients in trade mark dispute and infringement matters.
Before moving into private practice, Hayley spent over a decade working in the in-house trade mark teams of a multinational pharmaceutical company and a multinational consumer goods company.
Kelly focuses her practice on capital markets transactions, including public and private offerings of debt and equity securities, and on corporate governance and securities law compliance. She also has experience in transactions involving special purpose acquisition companies, including SPAC initial public offerings and de-SPAC transactions.
His work includes project
finance, project development, mergers and acquisitions, and other
miscellaneous investor arrangements in all phases of the development,
financing, construction and operation of such energy and infrastructure
projects.
Focused on helping public and private companies in achieving their global “net zero” carbon commitments, Teresa has a particular emphasis on negotiating renewable energy power purchase agreements (PPAs). She has partnered with some of the largest corporate buyers of renewable energy, working to expand the global footprint of their energy portfolios in the United States, Latin America, Europe, Australia and Asia.
Teresa has extensive experience with wind, solar and storage projects and, specifically, the negotiation of development-related agreements, including virtually and physically settled renewable power purchase agreements.
Prior to joining Orrick, Teresa was a partner in the energy and infrastructure group of a global law firm and in the environment, land use and natural resources and renewable energy groups of a Portland-based law firm. She also clerked for Chief Justice Linda Copple Trout, the first woman appointed to the Idaho Supreme Court.
Jean-Paule has more than 20 years of proven experience in white collar and corporate investigation, managing all phases of crisis management, such as internal investigations – including those of a cross-border nature –, the court defence in the context of criminal proceedings and the sanction proceedings before the Supervisory Authorities, in the interests of both individuals and legal entities (according to the D. Legislative Decree no. 231/2001). Jean-Paule advises clients in high-profile and complex cases with specific reference to anti-money laundering, financial crimes, false accounting, bankruptcy offenses, tax crimes, corruption and bribery in both the public and private sector, environmental crimes, occupational health and safety offenses, intellectual property crimes, data protection and privacy crimes/cybercrime, and import/export sanctions.
Thanks to her broad experience in conducting internal investigation and assisting individuals and legal entities in criminal and sanctions proceedings, she has been involved in advising Italian and foreign companies to address potential compliance risks, in performing due diligence focused on risk management and compliance risk in the context of extraordinary transactions and IPOs as well as in preparing and updating compliance programs (adopted under Law No. 231/2001) and in leading relative training to the board and to the employees.
She has also been appointed as member and chairwoman of the surveillance committees (Organismo di Vigilanza) of many Italian and foreign companies.
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