Ok folks I don't exactly understand all the concern over the Attorney, if he uses one for SEC filings even though he's banned from OTCM that's fine correct. Ok can he not use another Lawyer for OTC an Finra...say even if they are Banned from SEC but not OTC/FINRA.
If each Lawyer is in good standing for the part they do????
I'm not being a smart a** I just don't understand, I know I have used two different Lawyers on the same deal before, Price was my factor
I don't mean to offend anyone just don't understand it.