5
Practice Areas
25%-40%
Always
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Chat withState: Minnesota
Acquired: 1999
No misconduct found
1750 Tower Blvd #209, PO Box 73, Victoria, MN, 55386
12 Client Reviews
Showing 1 - 5 of 12 reviews | 5 stars
Posted by anonymous | August 30, 2018 | Hired Attorney | Arbitration
FINRA Arbitration
I hired Mark for defense against a claim brought by my out of state BD based on an indemnity clause in my RR Agreement for loss resulting form FINRA arbitration panel award to former client who lost money in a private placement, alleging misrepresentation among other claims. Mark drafted an excellen...
Posted by Tim | August 03, 2016 | Hired Attorney | Estate Planning
Tim Kruse Owner Kruse Insurance Services
I purchased a large agency and Mark help me with purchase agreement loan documents and non compete clause. He has been great to work with over the past 6 years. Mark has also helped September and I set up an estate plan that we are very comfortable with. He has been a great asset to me as a small ...
Posted by Robert | March 22, 2016 | Hired Attorney | Financial Markets and Services
Securities and Investment Fraud
My FINRA broker dealer terminated me alleging I, and others I controlled, engaged in document alterations. FINRA and the MN DOC made inquiry into my conduct. Mark shadow authored my submission that more accurately showed what had happened and put me in a more favorable light. He was incredibly va...
Posted by anonymous | March 04, 2013 | Insurance
Insurance
Mark reprensented me in responding to a Minnesota Deptarment of Commerce inquiry regarding an insurance related statue violation. Mark was very thourough and detailed in providing the facts I needed in order to respond to them. This was done in a very timely manner and I was informed of each step. ...
Posted by Jon | February 28, 2013 | Financial Markets and Services
FINRA
FINRA had orally said they were filing a Wells Notice which completely caught me off guard. FINRA wanted me to fly out to Maryland to try to resolve this matter. Mark was over the top prepared and got rid of the bogus Wells Notice and I didn't have to go to Maryland. I have since refered my personal ...
"I endorse this lawyer. Mark is a remarkably sharp and aggressive lawyer. He thinks outside of the box in difficult cases. His clients adore him, and he is a pleasure to work with as co-counsel."
"I worked with Mark on a civil RICO matter in federal court. There were multiple co-defendants involved. Mark dug into the case and came up with the majority of our defenses which he aggressively advocated. The end result was a very favorable outcome for both our clients."
"I endorse this lawyer. Mark is an excellent and resourceful advocate for his clients. He has deep knowledge of the securities brokerage industry, standards of practice, regulatory requirements and the prosecution of FINRA claims. He is dedicated and energetic, an attorney you will want to have in your corner to give you sound advice and right a wrong."
Securities and investment fraud lawyer | Apr 26
Relationship: Worked together on matter
"I endorse this lawyer. Mark and I were co-counsel on a case. He is very knowledgeable about the securities industry and is a tenacious litigator. In addition, he thinks creatively about cases and legal theories and is very detail oriented (which is crucial in complex cases). Mark has all the skills to bring success to your case as co-counsel or as your lawyer."
Securities and investment fraud lawyer | Sep 30
Relationship: Fellow lawyer in community
"I endorse the work of attorney Mark Czuchry. Mark is very educated in his areas of practice and works tirelessly for his clients as a kind, fair and passionate advocate. I strongly endorse his work."
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Securities and investment fraud lawyer
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Securities and investment fraud lawyer
Litigation lawyer
Estate planning lawyer
Personal injury lawyer
1998
Oral Argument Champion, Maynard Pirsig Moot Court
1998
Best Brief Finalist, Maynard Pirsig Moot Court
2008 - Present
Attorney, Czuchry Law Firm, LLC
2001 - 2008
Compliance Officer, FINRA Member Broker Dealers/RIAs
1999 - 2000
Financial Adviser, Robert W. Baird
1998 - 1999
Dir Misdemeanor Prosecution Clinic/Student Asst. City Atty, U of MN Law School/Ramsey County City Attorneys' Office
1985 - 1996
Production Manager-Wafer, Seagate Technology
2011 - Present
Public Investors Arbitration Bar AssociationMember
2010 - Present
American Bar AssociationMember
1999 - Present
Minnesota State Bar AssociationMember
1999 - 2013
FINRA/NASD Member Broker DealerRegistered Representative
Closed investigation with only a Cautionary Action; no Form U-4 disclosure required.
Won release of some assets; settled for small fraction of alleged damages.
Prevented eviction; settlement.
Dismissed without prejudice; confidential settlement.
Assault dismissed and commuted to DOC; all charges dismissed 12 mos. later.
1999
JD - Juris Doctor
1995
B.S.
2009
For Whom the Bell Tolls
2008
Beneficiary Designations
2008
Maximizing Community Spouse Standard of Living
2003
2000
English
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