Rob Stevens, CPARob has more than 11 years of experience and focuses on serving financial institutions, SEC registrants and broker-dealers. In addition to those areas, Rob specializes in employee benefit audit work, including numerous public plans. With regard to financial institutions, Rob’s primary focus has been to provide external audit, internal audit and regulatory compliance services. Rob also serves as the leader of the Firm’s broker-dealer practice within the Financial Services Group.
|
Sarah BellWith 13 years of public accounting experience, Sarah focuses on providing tax compliance and consulting services to public and private financial institutions. She provides her clients with services such as income tax compliance and planning as well as preparation and analysis of income tax provisions, uncertain tax positions, and other ASC Topic 740 reporting matters. She also assists clients with IRS and state tax examinations, tax reporting for mergers and acquisitions, executive compensation, and consolidated and multi-state corporate tax compliance and planning. |
CHRISTINE GANTT-SORENSENChris Gantt-Sorensen is a highly effective trial lawyer who concentrates in employment defense litigation. She has tried more than 50 cases to verdict in state and federal courts.
|
Bess HinsonBess Hinson is an associate based out of Nelson Mullins Riley & Scarborough’s Atlanta office where she practices in the Privacy and Information Security Practice Group. She represents clients at all stages of incident response from investigation, notification, remediation, managing privacy class action risks, and defense of litigation and regulatory inquiry. She has experience in privacy matters, including information governance and data management, online advertising, internal compliance policies, and consumer policies, including website and mobile application policies, vendor management, and advising on privacy and security-related compliance strategies and programs.
|