Lawyer Dionne Fajardo, graduated from
World College West, B.A., International Business/Management Stetson University College of Law, J.D., International Law, cum laude, Willem C. Vis International Commercial Arbitration Moot Team Member, 2006, is now employed by Wiand Guerra King P.L. at
5505 West Gray Street Tampa, FL 33609.
While being a member of Hillsborough County Bar Association., Dionne Fajardo is one of the more than one million lawyers in United States. Before choosing Dionne Fajardo as your lawyer, you should consider whether Dionne Fajardo offers free consultation, (if not) how much the initial interview costs, if there is any hidden attorney fees, what's the fee schedule, whether he or she has good community reputation and is able to provide a list of good references. You can also contact the Board of Professional Responsibility of the state bar, to find out if Dionne Fajardo has ever been placed under any disciplinary actions. Please be aware that, though Dionne Fajardo's office is located at Tampa, FL, he or she might belong to the bar association of other states.
You should also ask how long the lawyer has been in practice, how much experience he or she has in cases like yours, and more importantly, the outcomes of those cases! Focus of the lawyer's practice and years of experience are also very important factors in your evaluation process. The more focused the lawyer's practice areas, the better service he or she could provide. So do not make decisions solely on one or two factors. Only hire lawyers you feel comfortable with as they will represent you and your interests, and you will be sharing private details about your life with them.
Dionne Fajardo has been admitted in 2006, Florida. His or her practice areas include Investment Law; Securities Law.
Dionne Fajardo's college and law school education includes World College West, B.A., International Business/Management, Stetson University College of Law, J.D., International Law, cum laude, Willem C. Vis International Commercial Arbitration Moot Team Member, 2006. Other biographical background includes - Regulatory Matters- FINRA 3012 Review- RIA Rule 206(4) Annual Review - Written Supervisory Procedures- Complaint Handling- Monitoring and Surveillance- Investigations- Advertising- Disclosure Requirements- FINRA Membership Agreements- Compliance Technology Implementation- Training and Continuing Education ProgramsPast Experience-- Broker-Dealer & Registered Investment Advisor VP & Chief Compliance Officer 2006-2010-- Consultant to Broker-Dealers 2001-2006-- Broker Dealer AVP & Surveillance Manager 1995-2001-- Broker-Dealer and Investment Advisor AVP 1993-1995. You should contact other
lawyers and law firms nearby before choosing your legal representatives.
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