The Wagner Law Group
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The Wagner Law Group, A Professional Corporation, is a nationally recognized ERISA & employee benefits, estate planning, employment, labor & human resources practice.
Established in 1996, The Wagner Law Group is dedicated to the highest standards of integrity, excellence and thought leadership and is considered to be amongst the nation's most exceptional ERISA and employee benefits law firms. The firm has five offices across the country, providing unparalleled legal advice to its clients, including large, small and nonprofit corporations as well as individuals and government entities worldwide. The Wagner Law Group's 24 attorneys, senior benefits consultant and three paralegals combine many years of experience in their fields of practice with a variety of backgrounds. Five of the attorneys are AV rated by Martindale-Hubbell and four are Fellows of the American College of Employee Benefits Counsel, an invitation-only organization of nationally recognized employee benefits lawyers.
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Contact Info
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The Wagner Law Group
Integrity | Excellence
Boston
Tel: (617) 357-5200
Fax: (617) 357-5250
99 Summer Street
13th Floor
Boston, MA 02110
Palm Beach Gardens
Tel: (561) 293-3590 Fax: (561) 293-3591 7108 Fairway Drive Suite 125 Palm Beach Gardens, FL 33418
Tampa
Tel: (813) 603-2959
Fax: (813) 603-2961
101 East Kennedy Boulevard
Suite 2140
Tampa, FL 33602
San Francisco
Tel: (415) 625-0002
Fax: (415) 358-8300
300 Montgomery Street
Suite 600
San Francisco, CA 94104
St. Louis
Tel:
(314) 236-0065
Fax: (314) 236-5743
100 South 4th Street, Suite 550
St. Louis, MO 63102
www.wagnerlawgroup.com |
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July 5, 2016 The Wagner Law Group Appoints Stephen P. Wilkes as Partner |
Marcia Wagner, the Managing Director of The Wagner Law Group, is pleased to announce that Stephen P. Wilkes, one of the firm's outstanding ERISA attorneys, specializing in Title I of ERISA, has been appointed as a partner to the firm, effective as of July 5, 2016.
Steve's experience includes practicing as a partner in major national law firms and as in-house counsel at major financial institutions. Steve has advised plan sponsors, financial institutions and investment professionals in connection with all aspects of qualified and non-qualified retirement plans and executive compensation, as well as the delivery and distribution of investment products and services in the retirement plan marketplace. Steve's areas of concentration include both tax law and ERISA Title I fiduciary law, as well as the related federal and state securities and banking laws governing the distribution of investment products and services, such as the Investment Advisers Act, FINRA rules, and OCC regulations.
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