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Arthur H. Bill, Esq.
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Practice Areas: |
Experience:
- Mediator, D.C. Superior Court Multi-Door Landlord-Tenant Program, 2011-present
- Mediator, Financial Industry Regulatory Authority (FINRA)
- Mediator, District Court of Maryland ADR Day-of-Trial Program, 2009-present
- Mediator, Conflict Resolution Center of Montgomery County, 2009-present
- Mediator, Sixth Judicial Circuit of Maryland, 2011
- Partner, Foley & Lardner, LLP, Washington, D.C., 2002-2009
- Partner, Freedman, Levy, Kroll & Simonds, Washington, D.C., 1972-2002
- Staff Attorney, Securities & Exchange Commission, 1969-1972
Education:
- J.D., Boston University Law School
- B.A., Rutgers University
ADR Training and Experience:
- 40-Hour Mediation Training, Center for Alternative Dispute Resolution, 2009
- 20-Hour Child Access Mediation Training, 2010
- Maryland District Court Day-of-Trial Training Course, 2009
- D.C. Superior Court Multi-Door Program, Landlord-Tenant Mediation Training, 2011
Memberships:
- Member, Association of Conflict Resolution, Maryland Chapter
- Member, American Bar Association, Dispute Resolution and Business Sections
- Member, Maryland State Bar Association
- Member, Maryland Council for Dispute Resolution
- Member, Maryland Program for Mediator Excellence
- Member, Board of Directors of Bethesda Cares (501(c)(3) organization)
Legal Writing:
- “When is Mediation the Right Approach? A Boardroom Primer,” Corporate Board Member Magazine, Third Quarter 2011 Issue
- “The Audit Committee Guide,” 4th Edition 2008, supplemented 2010, Bowne & Co.
- “Securities Offerings by Foreign Companies in the U.S.,” 1993, Bowne & Co.
- “Maneuver Your Newly Public Company onto the NASDAQ,” Washington Business Journal, September and October 2000
- “Special Treatment for Small Business IPOs,” Washington Business Journal, September and October 2000
- “Assembling an Effective Board of Directors for an IPO,” Washington Business Journal, July 2000
- “Relaxed Stock Option Regulation for Small Business,” Washington Business Journal, June and July 2000
- “Positioning for an Initial Public Offering,” ABA Business Law Today, January and February 1993
- “Regulation of Investment Advisors and Broker-Dealers Under the Securities Laws,” Financial Planning, March 1984
- “When Financial Planners are Deemed to be Investment Advisors or Broker-Dealers,” Financial Planning, February 1982
- “Employee Payroll Savings Plans & the Securities Laws,” The Practical Lawyer, 1977
- “Form S-8 for Employee Stock Benefit Plans,” Securities Regulation Law Journal, 1976
Seminar Presentations:
- Updates on Audit Committee Developments, National Directors Institute, 2006-2008
- Seminar on IPOs, Dingman Center for Entrepreneurship, University of Maryland Business School, 1994



