John Granda is a retired partner from Stinson LLP, where they led the Corporate Finance Division and served on the Executive Committee and Board of Directors. With extensive experience in corporate legal matters, including mergers, acquisitions, and SEC compliance, John also previously held a role at the U.S. Securities and Exchange Commission, drafting key regulations governing tender offers and corporate finance. They hold multiple degrees, including a Juris Doctor and several master's degrees from the University of Iowa and Georgetown University.
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