Regulatory Compliance Lawyers in Northwest Arkansas & Tulsa, Oklahoma
Maintaining compliance is an ongoing challenge for businesses in every sector in today’s constantly evolving regulatory environment. As regulatory bodies require greater transparency, the cost of non-compliance with laws and regulations can be devastating. Therefore, you must seek counsel from experienced regulatory compliance lawyers.
At Eldridge Brooks Partners, our regulatory compliance lawyers possess extensive knowledge regarding complex regulations. Our far-reaching expertise stems from work in all three branches of government and experience running regulated businesses and overseeing governmental investigations. With offices in Rogers, Arkansas, and Tulsa, Oklahoma, we are uniquely positioned to serve clients throughout Oklahoma, Arkansas, Missouri, Texas, and Florida.
Contact us today if you’re seeking a unique and effective approach to the governmental agencies you face.
How Our Regulatory Compliance Lawyers Can Help
Our capabilities extend to most areas of federal and state government. Whatever issue you face, our regulatory compliance lawyers can help you in the following critical ways:
- Assessing the regulation
- Working to craft a compliance policy or approach
- Representing you while working with the governmental agency
Although we bring diverse experience to nearly every federal and state government facet, we specialize in banking and healthcare regulation.
Bank Regulation
The last several years have introduced heightened regulation and oversight to the financial services industry. New regulations emerged after the formation of the Consumer Financial Protection Bureau and the passage of the Frank-Dodd Act.
Among the required regulatory framework is conducting internal risk assessments, as set forth by the Office of the Comptroller (OCC), the Federal Reserve Bank, the Federal Deposit Insurance Corporation (FDIC), and State Bank Departments. If you face serious issues due to the findings, we can help negotiate a resolution with the agencies and formulate an action plan to ensure your bank is compliant again.
We routinely assist financial institutions through the ever-shifting Anti-Money Laundering and Bank Secrecy Act enforcement landscape. Our lawyers bring unique experience to AML, BSA, and related matters, helping clients manage regulatory and enforcement risks.
Banks and other financial institutions look to us for front-end compliance assistance or to respond to actual or alleged violations. We’ve established ourselves as national leaders in the intersection of banks, financial transactions, law enforcement, prosecution, and litigation. You can trust our regulatory compliance lawyers to offer unmatched perspective, experience, and relationships to your AML, BSA, or related issues.
Healthcare Regulation
Our team boasts experience counseling healthcare clients in risk assessment and management. Doctors, hospital executives, investors, and other stakeholders trust Eldridge Brooks Partners with privacy matters related to the Health Insurance Portability and Accountability Act of 1996 (HIPAA).
Further, we have experience defending physicians, nurses, and other healthcare providers in fraud before state licensing boards and the US Department of Health and Human Services (HHS). We’re dedicated to ensuring you remain compliant, whatever healthcare regulatory issues you face.
Why Choose Our Regulatory Lawyers?
When it comes to compliance issues, the law firm you choose must understand how regulatory bodies operate to mitigate your risk effectively. Eldridge Brooks Partners’ team of regulatory compliance lawyers possesses a deep knowledge of government entities and their functions.
One of our founders, Conner Eldridge, is a former United States Attorney, Chief Executive Officer of a $1 billion financial institution, and United States Senate candidate. Our co-founder, Steve Brooks, is a former partner at one of Arkansas’ largest venture capital and growth equity investment firms. You can be confident that our team will bring unique expertise to every regulatory compliance matter you face.
Mitigate Risk With Our Regulatory Compliance Lawyers in Northwest Arkansas & Tulsa, OK
Regulatory investigations and enforcement can have devastating effects on your business. Whether you need a proactive approach by implementing systems and processes that mitigate risk or representation when working with regulatory bodies, we can help.
Contact our regulatory compliance lawyers today. We serve clients and businesses throughout Arkansas, Texas, Missouri, Florida, and Oklahoma.
Our Office Locations – Regulatory Compliance Lawyers in Northwest Arkansas & Tulsa, Oklahoma
Navigating complex regulatory requirements demands legal guidance that is both knowledgeable and accessible. With offices in Northwest Arkansas and Tulsa, Oklahoma, our firm is strategically positioned to serve businesses and organizations facing regulatory challenges across multiple industries.
Northwest Arkansas Office – Rogers, AR
Located in Rogers, our Northwest Arkansas office is at the center of a rapidly expanding business landscape. This region is home to a diverse range of industries, including banking, healthcare, and technology—each subject to evolving regulatory frameworks. Our regulatory compliance attorneys provide proactive legal solutions to help businesses mitigate risk and maintain compliance with state and federal regulations.
Address:
5115 West JB Hunt Dr., Ste. 500
Rogers, AR 72758
Tulsa, Oklahoma Office
Tulsa’s dynamic business environment includes financial institutions, healthcare providers, and corporate enterprises—all of which operate within complex regulatory landscapes. From federal banking regulations to healthcare compliance matters, our Tulsa office serves as a hub for legal guidance, ensuring businesses in Oklahoma remain compliant and protected against regulatory scrutiny.
Address:
11 1/2 Reconciliation Way
Tulsa, OK 74103
Accessible Legal Support for Businesses Across the Region
With a strong presence in both Arkansas and Oklahoma, we are uniquely positioned to serve clients throughout the region, including Missouri, Texas, and Florida. Whether your business needs assistance with banking compliance, healthcare regulations, or risk assessments, our team is ready to provide the strategic legal counsel you need.
Phone: 479.469.1648
For businesses facing regulatory challenges, having experienced legal counsel close to home is essential. Contact us today to discuss how we can help you navigate compliance complexities and protect your business.
REGULATORY COMPLIANCE TEAM
