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Paul Roshka has extensive experience with the prosecution and defense of claims alleging violations of federal and state securities laws. He practices regularly before the United States Securities and Exchange Commission, the Arizona Corporation Commission, and the Financial Industry Regulatory Authority (FINRA).
Paul received his undergraduate degree from St. Joseph's University in Philadelphia and his law degree from the University of Connecticut School of Law. He began his career as a prosecutor with the Office of the Chief State's Attorney in Connecticut before moving to Arizona in 1977. He spent the next seven years with the Securities Division of the Arizona Corporation Commission and served as the agency's Assistant Director for three years before entering private practice.
In addition to having a securities litigation, arbitration, mediation and enforcement practice, Paul practices before a number of state agencies regulating banking, mortgage bankers and brokers, real estate, insurance and accounting.
He was a Faculty Associate at Arizona State University for a decade teaching undergraduate and graduate courses on white collar crime, organized crime and corporate crime.
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