|
Public Company Management Services (PCMS) is a strategic consulting firm which strives to multiply the shareholder value of its clients through focusing on fundamentals - resulting in:
- Larger base of shareholders
- Enhanced operational returns
- Increase in demand for shares
- Listing on exchange
Managed and assembled by Stephen Brock, PCMS has established an encompassing network of professionals and experts in various fields ranging from financial management, to technology, to compliance. Clients of PCMS enjoy direct access to this suite of professionals, which includes CPAs with nearly 100 years of combined experience, attorneys specializing in securities compliance and regulatory issues, financial consultants delivering solutions to the micro-market capitalization branch of companies, boutique investment bankers and broker-dealers, and technology consultants using the Internet and powerful software to streamline operational and regulatory processes. Furthermore, each professional included in the PCMS network has direct experience working with and managing OTC BB listed companies. Other team members include Michael T. Williams, Jane E. Baynard, Aldo Rotondi, John Malone, and Dan Scheff.
Stephen Brock
Stephen Brock's entrepreneurial guidance has benefited developing companies and global corporations alike. He has vast experience navigating today's opportunities while remaining attentive to the challeneges of small companies.
Go Public Today
Mr. Brock is CEO of GoPublicToday.com, Inc. GPT clients fill the spectrum of client services from emerging companies to well established entities with strong positive earnings. His tenure created a number of OTCBB traded companies including TerenceNet, Inc. (TCET.OB), American Market Support Network, Inc. (AMSN.OB), Bluestar Leasing, Inc. (now Sterling Equity Holdings, Inc. SEQU.PK), Bluestar Coffee, Inc. (now Consumer Direct of America, Inc. CDIT.OB) and others.
PubCo White Papers
Mr. Brock’s most recent endeavors have led to the creation of PubCo White Papers, Inc. Designed through PCMS to help educate small business constituents including investors, issuers and market participants about strategies necessary to maximize the value of small companies and/or to adapt to the ever changing regulatory regime that will impact all involved with an interest in the micro cap segment. Public Company White Papers offer content in the key areas of micro-cap capital markets.
Foreign Company Listing
Mr. Brock has also recently launched a new service specifically targeted towards foreign companies that would like to obtain dual listing on a US exchange. This site is new, innovative and currently a one-of-a-kind service in the market.
Mr. Brock has also served as President of the Nevada Business Journal for four consecutive years. After attending the University of Maryland, Mr. Brock held an Executive Directorship with the Institute for Constitutional Rights for two years. His licenses include NASD Series 65, Registered Investment Advisor; NASD Series 7, licensure to broker securities nationally; and NASD Series 63, state securities license. Mr. Brock is a broker-dealer which allows him to originate and act as an agent in securities deals including mergers and acquisitions. He is also the author of over 75 white papers on issues pertaining to nano cap public and private, domestic and foreign companies. Mr. Brock is married with three children.
Kipley J. Lytel, CFA - Chief Operating Officer & Secretary
Public Company Management Corporation (PUBC.OB)
Lytel joined the company as an employee January 1, 2006, with a compensation package tied to achieving specific benchmark goals for the company. Lytel was instrumental as a consultant on many fronts, including the creation of PUBC's OTCBB Index, trademarked PCMC Bulletin Board 30 Index(TM), which tracks 30 OTCBB stocks such as Global Med Technologies Inc. (GLOB.OB) and International Fuel Technologies (OTCBB: IFUE).
Previously, Lytel served as a lead securities analyst with a broker-dealer and performed portfolio management and analyst coverage during his employment with two hedge funds. With regard to his equity research background, he was a Generalist performing equity and fixed-income coverage spanning numerous industries including: telecommunications and wireless, health care, retail, financials, consumer products, technology, gaming and energy.
Lytel brings to PUBC more than 15 years of investment finance experience, with expertise in equity valuation, credit analysis, private placements, and buy/sell recommendations. He received an MBA from the Peter F. Drucker School of Management at Claremont Graduate University, where he also received an undergraduate degree in Economics. Lytel holds the Chartered Financial Analyst® designation, is an active member of CFA Institute and the Los Angeles Society of Financial Analysts (LASFA). He served as a grader/senior grader in the CFA® Examination Grading Program for CFA Institute and has been a Regional Expert for CFA Institute's advisory panel on investment management.
Trae O'Neil High, Chief Legal Officer
Public Company Management Corporation (PUBC.OB)
In his new position as CLO, Trae will focus on managing the corporate legal function of PUBC including advising PUBC in the areas of federal and state securities laws, tax laws, corporate governance and the Sarbanes-Oxley Act of 2002. In addition, Trae will manage PUBC's workflow as PUBC's clients go through the process of becoming publicly traded small businesses, including the provision of pre-filing review and comment on the client's filings with the U.S. Securities and Exchange Commission.
Since 2003, Trae O'Neil High has represented clients in the field of corporate securities and taxation. He serves as outside securities counsel for several publicly traded and private small businesses. His work primarily involves counseling clients regarding federal and state securities laws and international and state tax matters and helping clients maintain compliance with various corporate regulations including corporate governance and the Sarbanes-Oxley Act of 2002. He will continue to service a limited number of clients. He formerly worked for a Big Four accounting firm providing international tax services primarily to the financial services and real estate industries and as a tax research specialist at Excel Communications, Inc. where he focused on corporate and state and local taxation as well as executive compensation. He received a Bachelor's degree in finance from the University of Texas at Austin, a JD from Southern Methodist University School of Law, an MS in accounting from the University of Texas at Dallas, and an LL.M. in taxation from Georgetown University Law Center. Trae is a member of the State Bar of Texas.
Michael T. Williams, ESQ.
Williams Law Group, P.A., Tampa FL
After leaving a management and in-house counsel position with a large private healthcare firm., devoted full time to developing a boutique corporate and securities practice. Focuses almost exclusively on taking small companies public that do not qualify for traditional IPO transactions. Currently assisting or have assisted approximately 20 companies going public through the filing of registration statements on Form SB-2 as well as filings on Form 10-SB. Eight of these companies received ticker symbols, and it is anticipated the more will receive ticker symbols before the end of this year. Prior becoming involved in the management of a large healthcare firm, worked for a Florida firm for 11 years where main responsibilities were the preparation of and filing all major types of filings with the SEC, including registration statements, annual and periodic reports, and stock transfer tracking forms such as Forms 3 and 4. In addition, prepackaged private placement memoranda and related blue sky filings, as well as participated in structuring and negotiating many corporate transactions, drafting related documents including merger and acquisition agreements, asset purchase and sale agreements, employment contracts, and partnership agreements. Most importantly, Mike worked for five years with the U.S. Securities and Exchange Commission, Washington, D.C. He conducted investigations and secured judgments against individuals and corporations for violations of federal securities laws, including Fortune 500 companies.
Jane E. Baynard
The Baymen Group
Prior to joining Baymen, Jane E. helped co-found the Private Placement Group for Interstate Johnson Lane Securities, an NASD registered broker-dealer. As a co-founder of the Private Placements group she was instrumental in developing strategy for penetration into the regional private corporate market. Responsibilities included managing relationships with existing and potential clients, conducting due diligence and writing private placement memorandums. She was also responsible for establishing product structure and pricing for individual debt and equity transactions in the private market. Prior to joining IJL, Jane E. served as Vice President of NationsBanc Capital Markets, Inc. a Section 20 investment banking firm focused on serving Fortune 500 clients’ debt and equity needs through myriad security and derivative products. Jane E. has also worked with Madison Keats, Management Consulting Services and ICG Capital Partner where she has performed business valuation, financial analysis, equity research reports and capital sourcing services. Jane E. earned an MBA from UNC Chapel Hill and holds a Bachelor of Arts Degree in Economics from the same institution. Jane E. has authored several books designed to assist company management operate more efficiently. She also has written a number of articles on financial, management and venture financing issues for various publications.
Aldo Rotondi
AirAM Capital
Aldo Rotondi began his business career in 1986 with his private Architectural Design/Build company; Rotondi Design & Associates. For 6 years with his design team, he was involved in all aspects of development from commercial developments to residential condominium developments both in the US and Canada. His last design/build project that he was involved with was to redevelop a motel and convert it to an new Super 8 Motel Franchise. This project sparked Mr. Rotondi's focus to develop Super 8 Motels in Eastern Canada. With 2 other partners, CF Hospitality, Inc. was started whereby the company now owned the Franchise Rights to the Super 8 Motel Chain for Eastern Canada. Mr. Rotondi was Vice President of Development for CF and helped the grow the chain from 2 properties in Eastern Canada to 25 franchised properties. Of these franchised properties, 9 properties were coporately owned by CF Hospitality.
In 1997 a buyout of CF Hospitality's Corporate properties by Wesmont Hospitality turned Mr. Rotondi's focus in joining and starting a new development company called Royop Hospitality Corporation. Royop became a publicly listed company on the Toronto Stock Exchange that now held the rights to the Franchise Rights to the Super 8 Motel Chain for all of Canada as well as the franchise rights to Wingate Inns. By working with Cendant Corporation, Royop expanded its Super 8 Franchise base from 28 Super 8 properties to over 60 franchised properties where Mr. Rotondi was in charge of Franchise Developments for Royop Corporation.
In 1998 Mr. Rotondi left Royop Corporation; which was later acquired by a US REIT; to focus on his business ventures with Airam Capital Group, Inc., a company that Mr. Rotondi founded and acts as president. Airam Capital is in the business of seeking out private business opportunities that may be better served as public companies. As principal for various public companies, he seeks out mergers with private companies that will enhance shareholder value.
Airam Capital works together with GoPublicToday.com and Public Company Management Services assisting with strategic investment and acquisition services for early-stage companies in support of investment and M&A focus providing strategic consulting and business development services.
John Malone
Malone & Bailey, PLLC
John C. Malone, JD, CPA is managing partner of Malone & Bailey, PLLC, a certified public accounting firm specializing in audits and taxation of small publicly-held (SEC regulated) companies in the United States and Canada. Malone & Bailey currently have about 80 public company clients, ranking them #7 of all U.S. accounting firms in number of SEC clients. Their success formula is SEC rule competence through their large specialty practice base which leads to faster service and lower prices. Mr. Malone is also audit committee chairman of the board of directors of North American Technologies Corporation, a small publicly-held company specializing in composite railroad tie manufacturing.
Dan Scheff
Backstage Development Custom Website Design
Dan Scheff is the owner of Backstage Development, a custom website design firm based in Longmeadow, Massachusetts.
|