I am a New York based Securities Fraud Attorney and founder of Malecki Law, with other attorneys and staff. We represent clients nationally and internationally in securities and commercial litigation, arbitration, mediation, regulatory investigations and employment disputes. Our clients include individual and institutional investors, retirees to elderly widows and Fortune 500 entrepreneurs, as well as large securities industry whistleblowers at the SEC, DOJ and FINRA, securities industry professionals in employment and license issues (involving Form U4/U5) and regulatory investigations and enforcement proceedings before the SEC and FINRA.
I have been qualified as an Expert Witness by FINRA arbitrators. I am a trained mediator. I have met with members of Congress to advocate for the Investor Choice Act and other changes to the law.
I am VP on the Board of Directors of the PIABA Foundation and have been appointed to FINRA’s National Arbitration and Mediation Committee (NAMC). I am a member of and have been on the Board of Directors (and an Officer of) PIABA. I have also been a FINRA arbitrator and Chairperson. I have been a member of the Securities and Exchanges Committee at the New York City Bar Association, and the New York State Bar Association. I regularly speak at the Practising Law Institute (PLI), PIABA, Securities Expert’s Roundtable, New York County Lawyers Association, Brooklyn Law School, St. John's Law School, and New York Law School.
I speak on TV, news and radio shows about securities issues, elder financial fraud and arbitration, e.g. Wall Street Journal Live, NBC’s Today Show, Fox Business News, ABC’s Eyewitness News, and Bloomberg Television. My cases are cited in The Wall Street Journal, The New York Times, Forbes and Newsweek.