Parker B. Morrill
Associate
PHONE801.322.2516
FAX801.521.6280

Parker Morrill regularly assists clients in their efforts to raise capital, comply with various regulations, complete significant transactions and respond to inquiries from regulators.

Mr. Morrill has significant experience advising clients on compliance with federal and state securities laws, in both public and private offerings, and has extensive knowledge of the rules and operations of the U.S. Securities and Exchange Commission (SEC).

He also regularly advises clients on corporate governance, mergers and acquisitions, private equity and stock exchange listing requirements.

Mr. Morrill is a former Certified Public Accountant, and that background gives him valuable insight into the complexities of the transactions on which he advises. He is also familiar with the requirements of the Public Company Accounting Oversight Board (PCAOB) and the Sarbanes-Oxley Act.

Mr. Morrill served as an attorney-advisor at the SEC where he examined IPOs and public company filings. His time at the SEC also included a rotation in the Office of Compliance, Inspections and Examinations where he gained familiarity with the Dodd-Frank Act and the examinations of broker-dealers, investment advisers and transfer agents. During law school, he served as an intern in the SEC’s Office of Mergers and Acquisitions.

Prior to joining Clyde Snow, Mr. Morrill was an associate at a major law firm in Washington, D.C.

Education

  • Juris Doctor, J. Reuben Clark Law School, Brigham Young University (2009)
  • Master of Accountancy (Tax Emphasis), Weber State University (2006)
  • Bachelor of Arts, Weber State University (2005)

Government Service

  • U.S. Securities and Exchange Commission, Attorney-Advisor

Publications

 Speaking Engagements

  • Speaker, "Top 9 LLC Mistakes to Avoid in Everyday Business Practices," NBI Seminar (May 22, 2017)
  • Panelist, "Finders and Unregistered Broker-Dealers: Understanding the Risks and Recent Developments," Strafford Live Webinar (December 6, 2016)
  • Co-presenter, “SEC Rules on General Solicitation under Rules 506 and 144A and Related Prohibition on Bad Actors,” West LegalEdcenter (September 26, 2013)

 Professional Affiliations

  • Member, American Academy of Attorney-CPAs
  • Member, American Bar Association