Scott Cipinko, Senior Partner, corporate law, financials, regulatory


Senior Managing Partner, Rondesse Legal PLLC

Steering Legal Excellence with Wisdom and Vision

Attorney Scott J. Cipinko, offers over 30 years of expertise in corporate law, regulatory compliance, and insurance law. Renowned for his strategic insight and legal prowess, he adeptly navigates complex legal landscapes, providing clients and of counsels with exceptional guidance and results.
  • Juris Doctor, Chicago-Kent College of Law (1987)

    • American Jurisprudence Award, Law Office Economics and Technology

    • Dean’s Honor List

    • Chicago-Kent Moot Court Society

    • Semi-Finalist: Charles Evans Hughes Moot Court Competition

  • Bachelor of Arts, Political Science, DePaul University (1982)

    • Florence & Lawrence West Merit Award Scholarship

  • Member, District of Columbia Bar Association (2007-Present)
  • Member, Georgia Bar Association (2004-Present)
  • Member, American Bar Association (1987-Present)
  • Member, Illinois Bar Association (1987-Present)
  • Corporate Governance -Employment Law & Agreements – Internal & External
  • Coalition Building -Fraud Analysis – Legislative and Regulatory Drafting &
  • Advocacy- Drafting Testimony &
  • Publications- Regulatory Compliance & Risk Assessment
  • Contract Drafting and Negotiation
  • Guidance on best practices
  • Dispute Resolution
  • Expertise in commercial, service, and lease agreements.
  • Assistance with corporate formation, governance, and compliance.
  • Advisory on mergers, acquisitions, joint ventures, and restructurings.
  • Management of shareholder agreements and corporate governance documents.
  • Strategic legal advice on corporate finance and investments.
  • Navigation of insurance regulatory compliance.
  • Advisory on insurance policy interpretation and coverage disputes.
  • Representation in regulatory investigations and enforcement actions.
  • Consultation on insurance product development and marketing.
  • Advisory on compliance with financial regulations, including Dodd-Frank and Sarbanes-Oxley Acts.
  • Support in financial transactions, securities offerings, and private equity deals.
  • Regulatory advice for financial institutions on licensing and operational compliance.
  • Representation in financial disputes

What Clients say about Scott

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