& Associates is a Cleveland, Ohio-based boutique law firm whose nationwide practice
focuses on a broad range of transactional and regulatory matters for financial
institutions and related entities. The firm's practice is concentrated in the
areas of executive compensation and employee benefits, purchase of bank-owned
life insurance ("BOLI"), corporate governance, mergers and acquisitions, securities
law, and regulatory matters.
The lawyers of Grady & Associates
are recognized as leaders in rendering legal services to financial institutions.
Founded in June, 1994, the firm represents 200 financial institutions and holding
companies located throughout the United States. Our clients range in size from
financial institutions with assets of less than $10 million to those with assets
in excess of $43 billion. The firm's attorneys write and speak extensively for
banking audiences. Mr. Grady's book, The New CRA: A Practical Guide to Compliance,
was published in September 1996 by McGraw-Hill Publishing. For over a decade,
Mr. Grady has been contributing author to Consumer Credit: Law, Transactions
and Forms, a six volume treatise on consumer credit regulation published by
Mathew Bender, a national publisher of legal and banking material. Our lawyers
have authored more than 50 articles for the financial institutions industry (including
the American Banker) and are frequent speakers at bank and thrift trade
association gatherings. We have a long list of trade association executives who
report that our programs are among the best they have offered their memberships.
are located at
20220 Center Ridge Road, Suite 300
Rocky River, OH 44116
or Fax: 440-356-7254
Contact us via our online web form.
Transactions Completed by Grady & Associates
(.pdf format - 34.2k - download Adobe
of Topic Presentations
for Educational Seminars
Regular office hours are
8:30 a.m. to 5:00 p.m.,
Monday through Friday.
We are closed most