Mr. Burrow concentrates his practice on banking and commercial transactions. He has represented banks, savings and loans, and other clients in a variety of transactional matters and has substantial experience in bank regulation, lending, securities, taxation, and commercial transactions. During his career in private practice and as general counsel to a publicly traded bank holding company, Mr. Burrow has been frequently involved in merger and acquisition matters regarding publicly and privately held bank holding companies, banks, and savings and loan associations as well as the formation of de novo banks. He has been recognized by Chambers USA and The Best Lawyers in America® for his work in the banking field.
Among completed transactions, Mr. Burrow lists numerous bank and bank holding company merger and acquisitions transactions, bank formations, and stock offerings. He has been involved in the general legal representation of banks in routine daily operations, including lending issues, regulatory matters, and corporate governance issues.
Mr. Burrow is licensed in both Arkansas and Tennessee.
Education
New York University (LL.M., Taxation, 1981)
Vanderbilt University School of Law (J.D., 1978)
University of Central Arkansas (B.S., with honors, 1975)
Associations and Affiliations
Member, Arkansas Bar Association