C MOTTA acts as a strategic legal partner to issuers, shareholders, officers and directors, and investors on capital markets matters, public company regulation, and preparation for market access. Our advice combines corporate experience, regulatory insight, transactional coordination, and documentary discipline to organize companies, governance, disclosure, internal policies, and decision-making processes in regulated environments. We also coordinate the various participants involved in market transactions, including transaction counsel, banks, auditors, consultants, fiduciary administrators, bookkeeping agents, and other advisors.
+ Public and Listed Companies
Ongoing advice to public companies, listed companies, controlling shareholders, significant shareholders, and officers and directors on corporate, regulatory, disclosure, and governance matters.
+ CVM and B3 Regulation
Recurring advice on regulatory matters before the CVM and B3, including regulatory interpretation, regulatory requirements, regulatory engagement, responses to official requests, and management of periodic obligations.
+ Disclosure and Market Communications
Organization of information disclosure processes, material facts, notices to the market, notices to shareholders, periodic forms, event-driven filings, and other documents required in regulated environments.
+ Periodic Reporting and Ongoing Obligations
Legal support for reference forms, registration forms, financial statements, quarterly information, shareholder meetings, minutes, voting maps, reports, and other regulatory filings.
+ Public Company Internal Policies
Drafting and review of policies on disclosure, securities trading, related-party transactions, risk management, nomination, compensation, compliance, internal controls, and corporate governance.
+ Public Company Governance
Structuring and review of boards of directors, statutory and non-statutory committees, the executive board, fiscal councils, decision-making authority levels, reserved matters, and corporate documentation routines.
+ Shareholder Meetings and Regulated Corporate Acts
Advice on the preparation, calling, conduct, and documentation of general shareholder meetings, board meetings, executive board meetings, voting ballots, management proposals, and participation manuals.
+ Administrative Defenses and Enforcement Proceedings
Representation in administrative defenses, supervision procedures, enforcement proceedings, settlement agreements, internal investigations, and responses to inquiries from the CVM, B3, and other competent authorities.
+ Shareholders, Controlling Shareholders, and Significant Investors
Advice to controlling shareholders, reference shareholders, significant investors, and members of controlling blocs on disclosure obligations, governance, voting, share trading, and relations with the company.
+ Corporate Transactions in Regulated Environments
Advice on reorganizations, mergers, spin-offs, consolidations, sales of control, capital increases, private offerings, related-party transactions, and other transactions with regulatory implications.
+ IPO Readiness and Legal Equity Story
Legal organization of companies for IPO processes, including review of corporate structure, governance, material contracts, contingencies, internal policies, corporate documentation, and disclosure.
+ Internal Controls and Regulatory Traceability
Structuring of internal processes for the approval, review, recording, and disclosure of information, with version control, allocation of responsibilities, documentary evidence, and decision-making trails.
+ Corporate, Regulatory, and Contractual Integration
Integrated advice on corporate, regulatory, and contractual matters, with a focus on documentary consistency, coordinated execution, regulatory predictability, and alignment with the capital markets environment.
+ Preparation for Market Access
Advice to companies, shareholders, and officers and directors on corporate reorganization, governance review, control structuring, documentary organization, and institutional preparation for access to the capital markets.
+ Coordination of Capital Markets Transactions
Legal leadership and client-side coordination of transaction counsel, banks, auditors, consultants, fiduciary administrators, bookkeeping agents, and other process participants, including review of engagement letters, legal fee proposals, and commercial proposals from advisors, with analysis of scope, responsibilities, deliverables, limitations of liability, approval flows, and alignment with the regulatory and transactional timetable.