
212-530-1915
212-530-1801 fax
sbudlong@rkollp.com
One World Financial Center
New York, NY 10281-1003
Scott C. Budlong
Partner
Practice Areas
Education
- Columbia University School of Law, J.D., 1992
Harlan Fiske Stone Scholar; Parker School Certificate in Foreign Law (honors)
Head Articles Editor, Columbia Journal of Transnational Law - Université de Genève, Certificat d'Etudes Européennes, 1989
- Amherst College, B.A., 1986
Scott C. Budlong focuses on securities matters, both transactional and regulatory, as well as corporate governance issues. He provides strategic advice to hedge funds, investment banks and financial institutions regarding public and private securities transactions, including resales and other liquidity options. He also counsels clients in connection with Rule 144, Rule 144A, Regulation S, Regulation M, Section 13 and Section 16, as well as on general corporate and regulatory issues. Mr. Budlong has significant experience advising public companies on Sarbanes-Oxley compliance and corporate governance questions.
From 2005 until 2008, Mr. Budlong was Chief Securities & Governance Counsel at Marsh & McLennan Companies, Inc. Previously, he was Counsel in the Securities Practice Group at Debevoise & Plimpton LLP in New York and London.
Mr. Budlong has published articles in several professional journals, including Insights, International Business Lawyer, International Financial Law Review and World Securities Law Report.
Mr. Budlong is admitted to practice in New York.